Recent Annual Filings for ABL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $874,164,752 $111,923,786 $112,812,090 $-25,065,537 $-208,810,444 $320,121,348 $106,355,614
2023 $331,826,067 $66,401,451 $42,275,569 $7,786,157 $-64,523,149 $57,817,492 $-4,464,155
2011 $120,400,000 $208,733,000 $210,200,000 $-7,325,000 $-537,000 $2,823,000 $112,000