Recent Annual Filings for AKR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,291,154,000 $338,692,000 $289,616,000 $-24,433,000 $155,758,000 $45,852,000 $-6,927,000
2022 $4,302,582,000 $326,290,000 $315,221,000 $39,839,000 $133,211,000 $-4,376,000 $4,662,000
2021 $4,261,746,000 $292,497,000 $272,362,000 $77,937,000 $104,983,000 $91,319,000 $-2,236,000
2020 $4,186,882,000 $255,484,000 $371,546,000 $-125,071,000 $102,565,000 $-2,443,000 $3,914,000
2019 $4,309,114,000 $295,327,000 $272,655,000 $-15,342,000 $127,177,000 $265,042,000 $-4,838,000
2018 $3,958,780,000 $262,213,000 $282,117,000 $-18,286,000 $96,076,000 $-10,278,000 $-50,821,000
2017 $3,960,247,000 $250,262,000 $232,943,000 $68,259,000 $119,833,000 $-126,897,000 $3,018,000
2016 $3,995,960,000 $189,939,000 $168,050,000 $138,522,000 $111,760,000 $498,239,000 $-971,000