Recent Annual Filings for AHT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,160,985,000 $1,172,459,000 $1,174,834,000 $-65,011,000 $-23,592,000 $-258,750,000 $-91,059,000
2023 $3,462,281,000 $1,367,533,000 $1,248,578,000 $-180,734,000 $14,390,000 $-172,130,000 $-247,492,000
2022 $3,917,377,000 $1,240,859,000 $1,164,904,000 $-141,058,000 $39,224,000 $-101,508,000 $-132,618,000
2021 $4,098,143,000 $805,411,000 $932,027,000 $-271,048,000 $-144,188,000 $702,559,000 $524,331,000
2019 $4,691,348,000 $1,502,759,000 $1,414,156,000 $-142,679,000 $177,209,000 $34,379,000 $-41,605,000
2018 $4,685,954,000 $1,430,789,000 $1,340,850,000 $-156,309,000 $181,560,000 $115,814,000 $-32,260,000
2017 $4,669,850,000 $1,439,270,000 $1,304,265,000 $-88,760,000 $207,382,000 $-163,902,000 $-20,401,000
2016 $4,891,544,000 $1,492,043,000 $1,336,339,000 $-58,782,000 $175,055,000 $-34,150,000 $132,989,000