Recent Annual Filings for ACI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $26,755,700,000 $80,390,900,000 $79,261,200,000 $965,300,000 $2,680,600,000 $-684,100,000 $104,700,000
2024 $26,221,100,000 $79,237,700,000 $77,168,800,000 $1,314,700,000 $2,659,500,000 $-1,183,400,000 $-270,600,000
2023 $26,168,200,000 $77,649,700,000 $75,342,600,000 $1,513,800,000 $2,853,900,000 $-3,365,400,000 $-2,488,800,000
2022 $28,123,000,000 $71,887,000,000 $69,450,100,000 $1,625,100,000 $3,513,400,000 $-789,500,000 $1,185,000,000
2021 $26,598,000,000 $69,690,400,000 $68,561,700,000 $1,032,200,000 $3,902,500,000 $-1,041,800,000 $1,288,700,000
2015 $5,106,738,000 $395,323,000 $3,681,845,000 $-2,918,198,000 $-44,367,000 $-58,742,000 $-283,450,000
2014 $8,429,723,000 $2,937,119,000 $3,469,838,000 $-592,804,000 $-33,582,000 $-37,530,000 $-176,868,000
2013 $8,990,193,000 $800,000,000 $1,880,726,000 $-587,633,000 $55,742,000 $-54,710,000 $126,477,000