Recent Annual Filings for AEIS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,261,894,000 $1,482,042,000 $1,429,665,000 $36,316,000 $130,747,000 $-377,093,000 $-319,887,000
2023 $2,556,757,000 $1,655,810,000 $1,533,349,000 $118,078,000 $208,937,000 $445,684,000 $589,870,000
2022 $1,992,168,000 $1,845,422,000 $1,603,681,000 $217,212,000 $183,587,000 $-61,865,000 $-86,550,000
2021 $1,817,340,000 $1,455,954,000 $1,307,243,000 $136,169,000 $140,245,000 $-25,372,000 $67,571,000
2020 $1,647,662,000 $1,415,826,000 $1,257,679,000 $138,022,000 $201,236,000 $-29,612,000 $128,784,000
2019 $1,532,406,000 $788,948,000 $721,754,000 $62,527,000 $48,392,000 $338,840,000 $-6,615,000
2018 $816,484,000 $718,892,000 $546,516,000 $141,129,000 $151,271,000 $-97,134,000 $-60,485,000
2017 $733,308,000 $453,095,000 $254,904,000 $147,327,000 $182,701,000 $-31,307,000 $125,520,000