Recent Annual Filings for AIN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,648,696,000 $1,230,615,000 $1,113,526,000 $25,234,000 $218,441,000 $-183,832,000 $-58,137,000
2023 $1,835,014,000 $1,147,909,000 $987,453,000 $123,369,000 $148,056,000 $-52,641,000 $-118,356,000
2022 $1,642,255,000 $1,034,887,000 $902,907,000 $97,565,000 $128,214,000 $-23,652,000 $-10,260,000
2021 $1,556,064,000 $929,240,000 $763,309,000 $105,192,000 $217,475,000 $-99,635,000 $60,720,000
2020 $1,549,936,000 $900,610,000 $761,536,000 $140,816,000 $140,253,000 $-60,669,000 $45,776,000
2019 $1,474,368,000 $1,054,132,000 $875,920,000 $115,790,000 $200,352,000 $-100,307,000 $-2,215,000
2018 $1,417,992,000 $982,479,000 $867,232,000 $60,532,000 $132,485,000 $-27,258,000 $14,028,000
2017 $1,361,198,000 $863,717,000 $809,009,000 $80,873,000 $64,216,000 $12,867,000 $1,985,000