Recent Annual Filings for AAXN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2020 $1,381,023,000 $681,003,000 $687,294,000 $-487,000 $38,481,000 $299,265,000 $-16,804,000
2019 $845,639,000 $530,860,000 $528,790,000 $1,299,000 $65,673,000 $-3,937,000 $-178,672,000
2018 $719,540,000 $420,068,000 $391,964,000 $29,159,000 $63,875,000 $219,348,000 $272,589,000
2017 $338,112,000 $343,798,000 $328,037,000 $2,837,000 $18,490,000 $-3,854,000 $34,454,000