Recent Annual Filings for AZZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,227,101,000 $1,577,744,000 $1,407,061,000 $44,749,000 $249,909,000 $-138,695,000 $-2,861,000
2024 $2,195,505,000 $1,537,589,000 $1,407,486,000 $87,886,000 $244,468,000 $-147,888,000 $1,529,000
2023 $2,221,479,000 $1,323,649,000 $1,234,974,000 $-38,463,000 $70,155,000 $1,147,335,000 $-12,262,000
2022 $1,133,028,000 $902,664,000 $796,319,000 $81,712,000 $86,010,000 $912,000 $245,000
2021 $996,442,000 $838,917,000 $787,920,000 $45,429,000 $92,035,000 $-88,425,000 $-21,850,000
2020 $1,073,831,000 $1,061,817,000 $996,927,000 $46,087,000 $144,759,000 $-59,739,000 $12,682,000
2019 $1,088,570,000 $927,087,000 $864,082,000 $47,676,000 $114,668,000 $-78,004,000 $3,152,000
2018 $1,028,209,000 $810,430,000 $779,531,000 $49,043,000 $78,909,000 $3,800,000 $9,551,000