Recent Annual Filings for AIV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,956,910,000 $208,679,000 $315,750,000 $-96,000,000 $46,984,000 $-43,896,000 $33,689,000
2023 $2,089,475,000 $186,995,000 $357,066,000 $-157,319,000 $50,467,000 $119,430,000 $-90,499,000
2022 $2,181,223,000 $190,344,000 $80,922,000 $92,158,000 $204,232,000 $-98,294,000 $-14,816,000
2021 $2,434,101,000 $169,836,000 $188,386,000 $-4,980,000 $12,586,000 $204,671,000 $-54,153,000
2020 $1,840,492,000 $151,451,000 $167,371,000 $-5,771,000 $47,846,000 $370,094,000 $288,615,000
2019 $6,828,739,000 $914,294,000 $409,402,000 $507,390,000 $374,472,000 $-63,952,000 $105,107,000
2018 $6,190,004,000 $972,410,000 $268,834,000 $717,863,000 $396,388,000 $-588,180,000 $-69,946,000
2017 $6,079,040,000 $1,005,437,000 $990,043,000 $349,893,000 $394,139,000 $-393,301,000 $15,542,000