Recent Annual Filings for AIRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $177,167,000 $286,834,000 $290,789,000 $-5,580,000 $17,178,000 $-13,910,000 $753,000
2023 $189,562,000 $247,323,000 $258,676,000 $-10,706,000 $16,909,000 $-12,380,000 $-1,278,000
2022 $207,599,000 $177,077,000 $163,681,000 $12,648,000 $-33,084,000 $59,254,000 $-7,559,000
2021 $140,750,000 $175,121,000 $186,902,000 $-8,555,000 $-1,819,000 $71,000 $356,000
2020 $151,427,000 $236,785,000 $234,161,000 $10,916,000 $-25,074,000 $19,240,000 $3,031,000
2019 $115,142,137 $249,834,478 $245,132,362 $3,189,660 $20,936,360 $9,546,611 $7,574,833
2018 $97,146,886 $194,519,345 $191,867,738 $2,411,564 $-277,837 $28,736,548 $2,039,873
2017 $65,335,189 $148,471,659 $152,690,845 $-4,997,728 $-7,554,094 $8,688,338 $-2,582,090