Recent Annual Filings for ACT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,521,531,000 $1,201,774,000 $323,713,000 $711,013,000 $686,262,000 $-381,999,000 $-16,251,000
2023 $6,190,473,000 $1,153,686,000 $302,177,000 $817,855,000 $632,038,000 $-300,726,000 $101,908,000
2022 $5,709,149,000 $1,095,046,000 $196,824,000 $237,832,000 $560,510,000 $-252,308,000 $87,947,000
2021 $5,865,773,000 $1,117,855,000 $422,639,000 $421,607,000 $572,117,000 $-200,294,000 $-26,966,000