Recent Annual Filings for ADV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,106,517,000 $3,566,324,000 $3,861,307,000 $-334,182,000 $93,095,000 $-211,417,000 $88,124,000
2023 $3,779,323,000 $4,224,846,000 $4,148,656,000 $-51,601,000 $238,995,000 $-181,338,000 $2,434,000
2022 $4,262,371,000 $4,049,742,000 $5,489,148,000 $-1,396,403,000 $121,258,000 $-41,644,000 $-33,926,000
2021 $5,854,268,000 $3,602,298,000 $3,372,250,000 $49,236,000 $125,991,000 $-86,300,000 $-39,329,000
2020 $5,777,492,000 $3,155,671,000 $3,088,665,000 $-148,669,000 $345,730,000 $-230,152,000 $20,941,000