Recent Annual Filings for ACMR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,490,908,000 $557,723,000 $441,507,000 $86,235,000 $-75,323,000 $18,530,000 $-65,278,000
2022 $1,235,500,000 $388,832,000 $321,470,000 $-8,538,000 $-62,194,000 $45,871,000 $-314,616,000
2021 $1,052,179,000 $259,751,000 $216,696,000 $47,616,000 $-40,093,000 $538,766,000 $491,301,000
2020 $341,257,000 $156,624,000 $137,329,000 $32,170,000 $-13,547,000 $32,834,000 $-46,093,000
2019 $217,703,000 $107,524,000 $88,584,000 $18,559,000 $9,403,000 $87,445,000 $90,735,000
2018 $103,047,000 $74,643,000 $67,263,000 $5,595,000 $6,909,000 $5,123,000 $9,443,000
2017 $67,891,000 $36,506,000 $36,831,000 $-400,000 $-8,101,000 $38,720,000 $7,562,000