Recent Annual Filings for POWL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $752,242,000 $699,308,000 $630,358,000 $56,614,000 $182,553,000 $-13,059,000 $143,921,000
2022 $493,380,000 $532,582,000 $522,739,000 $5,095,000 $-3,582,000 $-13,308,000 $-12,360,000
2021 $436,192,000 $470,559,000 $469,467,000 $4,788,000 $-30,461,000 $-13,174,000 $-45,902,000
2020 $472,278,000 $518,499,000 $498,169,000 $16,694,000 $72,394,000 $-13,095,000 $41,577,000
2019 $467,411,000 $517,180,000 $504,846,000 $7,122,000 $68,759,000 $-13,852,000 $56,914,000
2018 $429,951,000 $448,716,000 $456,415,000 $-10,177,000 $-28,543,000 $-13,028,000 $-31,428,000
2017 $414,986,000 $395,911,000 $412,830,000 $-4,472,000 $36,815,000 $-12,673,000 $-31,162,000
2016 $462,516,000 $565,243,000 $547,450,000 $14,143,000 $74,906,000 $-17,372,000 $54,677,000