Recent Annual Filings for ABR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,738,636,000 $427,991,000 $88,000 $400,556,000 $235,857,000 $-1,825,793,000 $289,042,000
2022 $17,038,985,000 $390,784,000 $19,473,000 $353,827,000 $1,099,649,000 $1,574,368,000 $356,895,000
2021 $15,073,845,000 $254,082,000 $-170,010,000 $377,807,000 $216,847,000 $6,887,679,000 $354,272,000
2020 $7,660,986,000 $170,249,000 $-66,301,000 $196,157,000 $55,165,000 $1,127,895,000 $26,436,000
2019 $6,239,160,000 $129,541,000 $-40,733,000 $155,238,000 $-226,537,000 $1,391,170,000 $169,893,000
2018 $4,612,175,000 $10,095,000 $-147,687,000 $147,875,000 $-37,735,000 $816,507,000 $96,897,000
2017 $3,625,945,000 $10,973,000 $-99,895,000 $97,364,000 $460,834,000 $412,844,000 $-34,271,000
2016 $2,970,786,246 $14,881,275 $-28,739,857 $67,642,760 $-197,617,076 $349,471,071 $-50,063,257