Recent Annual Filings for ACR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,881,467,000 $83,488,000 $71,889,000 $30,293,000 $19,385,000 $-352,736,000 $-34,283,000
2023 $2,196,105,000 $91,131,000 $70,458,000 $23,441,000 $45,609,000 $-219,849,000 $-12,925,000
2022 $2,376,652,000 $75,170,000 $67,406,000 $12,159,000 $32,697,000 $20,737,000 $-179,120,000
2021 $2,284,275,000 $50,075,000 $8,846,000 $35,774,000 $40,592,000 $566,103,000 $216,190,000