Recent Annual Filings for AIT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,951,910,000 $4,479,406,000 $3,981,276,000 $363,492,000 $371,393,000 $-156,468,000 $116,581,000
2023 $2,743,332,000 $4,412,794,000 $3,962,983,000 $363,738,000 $343,966,000 $-126,888,000 $159,562,000
2022 $2,452,588,000 $3,810,676,000 $3,480,886,000 $278,211,000 $187,570,000 $-223,029,000 $-73,271,000
2021 $2,271,807,000 $3,235,919,000 $3,058,857,000 $181,095,000 $241,697,000 $-213,037,000 $-10,806,000
2020 $2,283,551,000 $3,245,652,000 $3,190,416,000 $-5,502,000 $296,714,000 $-78,238,000 $160,332,000
2019 $2,331,697,000 $3,472,739,000 $3,278,258,000 $134,330,000 $180,601,000 $-71,539,000 $54,069,000
2018 $2,285,741,000 $3,073,274,000 $2,868,556,000 $133,104,000 $147,304,000 $600,284,000 $-50,907,000
2017 $1,387,595,000 $2,593,746,000 $2,426,780,000 $137,754,000 $164,619,000 $-103,349,000 $45,196,000