Recent Annual Filings for AHH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,512,863,000 $708,470,000 $623,232,000 $39,527,000 $112,020,000 $-43,262,000 $42,057,000
2023 $2,562,898,000 $667,158,000 $594,309,000 $-5,505,000 $93,314,000 $122,253,000 $-21,699,000
2022 $2,242,310,000 $454,153,000 $390,185,000 $119,318,000 $116,858,000 $-72,194,000 $11,422,000
2021 $1,938,063,000 $284,076,000 $262,421,000 $37,296,000 $91,184,000 $-43,542,000 $-9,987,000
2020 $1,916,971,000 $383,634,000 $341,281,000 $30,553,000 $91,179,000 $-58,101,000 $6,851,000
2019 $1,804,897,000 $257,198,000 $225,431,000 $28,255,000 $67,729,000 $246,862,000 $19,528,000
2018 $1,265,382,000 $193,317,000 $169,854,000 $21,767,000 $56,087,000 $185,611,000 $1,135,000
2017 $1,043,123,000 $302,771,000 $272,121,000 $29,925,000 $58,018,000 $42,131,000 $-2,277,000