Recent Annual Filings for AYI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,408,500,000 $3,952,200,000 $3,505,500,000 $359,200,000 $578,100,000 $-312,900,000 $174,700,000
2022 $3,480,200,000 $4,006,100,000 $3,512,200,000 $356,400,000 $316,300,000 $-512,400,000 $-268,100,000
2021 $3,575,100,000 $3,461,000,000 $3,064,800,000 $340,800,000 $408,700,000 $-362,600,000 $-69,400,000
2020 $3,491,700,000 $3,326,300,000 $3,001,600,000 $267,000,000 $504,800,000 $-50,300,000 $99,700,000
2019 $3,172,400,000 $3,672,700,000 $3,247,800,000 $293,800,000 $494,700,000 $-108,200,000 $331,900,000
2018 $2,988,800,000 $3,680,100,000 $3,254,200,000 $345,600,000 $353,200,000 $-326,700,000 $-182,000,000
2017 $2,899,600,000 $3,505,100,000 $3,012,500,000 $361,400,000 $316,200,000 $-371,400,000 $-102,100,000
2016 $2,948,000,000 $3,291,300,000 $2,846,700,000 $261,800,000 $345,700,000 $19,400,000 $-343,600,000