Recent Annual Filings for AZO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,985,878,000 $17,457,209,000 $14,289,595,000 $2,638,126,000 $2,940,788,000 $-2,060,082,000 $4,528,000
2022 $15,275,043,000 $16,252,230,000 $13,173,139,000 $2,437,054,000 $3,211,135,000 $-3,470,497,000 $-906,955,000
2021 $14,516,199,000 $14,629,585,000 $11,880,395,000 $2,216,580,000 $3,518,543,000 $-3,500,417,000 $-579,480,000
2020 $14,423,872,000 $12,631,967,000 $10,415,453,000 $1,648,042,000 $2,720,108,000 $-643,636,000 $1,574,515,000
2019 $9,895,913,000 $11,863,743,000 $9,832,410,000 $1,583,704,000 $2,128,513,000 $-1,674,088,000 $-41,524,000
2018 $9,346,980,000 $11,221,077,000 $9,584,748,000 $1,356,288,000 $2,080,292,000 $-1,632,154,000 $-75,446,000
2017 $9,259,781,000 $10,888,676,000 $8,963,187,000 $1,333,841,000 $1,570,612,000 $-914,329,000 $103,536,000
2016 $8,599,787,000 $10,635,676,000 $8,722,962,000 $1,182,996,000 $1,577,329,000 $-1,052,797,000 $14,425,000