Recent Annual Filings for ACIW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,025,293,000 $1,594,288,000 $1,286,153,000 $191,115,000 $358,748,000 $-288,197,000 $26,197,000
2023 $3,444,739,000 $1,452,579,000 $1,232,171,000 $129,699,000 $168,517,000 $-111,552,000 $24,149,000
2022 $3,209,895,000 $1,421,901,000 $1,218,066,000 $124,064,000 $143,381,000 $-171,060,000 $30,530,000
2021 $3,158,741,000 $1,370,598,000 $1,160,701,000 $120,689,000 $220,473,000 $-256,878,000 $-81,240,000
2020 $3,386,903,000 $1,294,322,000 $1,149,578,000 $71,798,000 $336,302,000 $-261,570,000 $43,976,000
2019 $3,257,534,000 $1,258,294,000 $1,134,538,000 $68,096,000 $137,649,000 $667,223,000 $-27,104,000
2018 $2,122,455,000 $1,009,780,000 $883,869,000 $53,660,000 $183,932,000 $-57,704,000 $78,792,000
2017 $1,861,639,000 $1,024,191,000 $939,551,000 $21,879,000 $146,197,000 $-98,148,000 $-6,043,000