FINANCIAL FRAMEWORK

A Consistent Revenue Framework.

Our planning model uses a $380 million 2026 revenue baseline and 23% compounded annual revenue growth. Revenue projections are separate from profit, cash flow and investment returns.

REVENUE TRAJECTORY

Baseline to Projected Growth.

23% annual projection
$380M2026$467M2027$575M2028$707M2029$870M2030$1,070M2031
$380M2026 baseline
23%Projected annual growth
$1.07B2031 projection

USD millions. 2026 is the management-provided baseline; 2027–2031 are projections. Chart labels are rounded; the financial tables provide two-decimal precision.

FINANCIAL PRIORITIES

Revenue Growth

Margin Expansion

Cash Flow Generation

Capital Efficiency

Shareholder Value

2026–2031 REVENUE OUTLOOK

Revenue in USD millions; 2026 baseline and 2027–2031 projections
YearRevenueBasis
2026$380.00Baseline
2027$467.4023% annual growth projection
2028$574.9023% annual growth projection
2029$707.1323% annual growth projection
2030$869.7723% annual growth projection
2031$1,069.8223% annual growth projection

FINANCIAL PRINCIPLES

  • Conservative leverage and strong liquidity
  • Invest for growth with measurable returns
  • Maintain flexible operating cash flow
  • Transparent reporting and governance
CAPITAL DISCIPLINE. CREATES LASTING VALUE.

The revenue model starts from a $380 million 2026 baseline and applies 23% compounded annual growth through 2031. Future-year amounts are projections, not guaranteed results. This revenue model does not establish EBITDA, profit margins or investment returns.

News & Press

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Questions

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