Recent Annual Filings for AKA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $385,204,000 $574,697,000 $596,358,000 $-36,570,000 $669,000 $15,506,000 $2,450,000
2023 $361,721,000 $546,258,000 $643,223,000 $-103,970,000 $33,426,000 $-52,829,000 $-24,344,000
2022 $509,638,000 $611,738,000 $792,352,000 $-210,802,000 $-319,000 $33,260,000 $7,355,000
2021 $687,846,000 $562,191,000 $567,430,000 $-33,710,000 $23,968,000 $269,850,000 $13,919,000