Recent Annual Filings for ADC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,486,446,000 $617,095,000 $326,293,000 $213,434,000 $431,972,000 $445,310,000 $-8,125,000
2023 $7,774,836,000 $537,495,000 $284,957,000 $163,527,000 $391,598,000 $869,014,000 $-14,385,000
2022 $6,713,189,000 $429,814,000 $216,987,000 $182,232,000 $362,121,000 $1,237,513,000 $-16,341,000
2021 $5,226,906,000 $339,323,000 $164,165,000 $153,806,000 $246,315,000 $1,177,595,000 $37,295,000
2020 $3,886,183,000 $248,568,000 $123,440,000 $61,976,000 $142,956,000 $1,122,684,000 $-34,202,000
2019 $2,664,530,000 $187,478,000 $86,389,000 $72,776,000 $126,707,000 $528,994,000 $-11,818,000
2018 $2,028,189,000 $148,195,000 $75,193,000 $58,852,000 $93,247,000 $470,063,000 $-4,807,000
2017 $1,494,634,000 $116,555,000 $54,168,000 $60,725,000 $82,203,000 $262,283,000 $17,412,000