Recent Annual Filings for ACEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $912,893,000 $1,170,420,000 $1,063,013,000 $41,299,000 $132,530,000 $-35,239,000 $37,498,000
2022 $862,769,000 $969,797,000 $872,942,000 $86,342,000 $107,999,000 $106,591,000 $25,327,000
2021 $616,073,000 $734,707,000 $664,515,000 $31,466,000 $110,755,000 $-11,876,000 $64,335,000
2020 $560,241,000 $316,352,000 $341,031,000 $-12,891,000 $-3,705,000 $74,188,000 $9,048,000
2019 $509,317,000 $424,385,000 $411,049,000 $-5,864,000 $45,565,000 $139,141,000 $33,174,000