Recent Annual Filings for AL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,277,896,000 $2,733,657,000 $2,200,400,000 $389,871,000 $1,677,019,000 $1,370,896,000 $11,612,000
2023 $30,452,252,000 $2,684,977,000 $1,931,343,000 $572,342,000 $1,746,880,000 $715,978,000 $-315,525,000
2022 $28,396,705,000 $2,317,302,000 $2,456,067,000 $-134,561,000 $1,382,150,000 $1,693,779,000 $-328,275,000
2021 $26,968,722,000 $2,088,389,000 $1,547,373,000 $406,026,000 $1,376,836,000 $1,068,469,000 $-649,475,000
2020 $25,215,175,000 $2,015,439,000 $1,368,761,000 $502,611,000 $1,090,186,000 $2,856,611,000 $1,419,706,000
2019 $21,709,155,000 $2,016,904,000 $1,281,219,000 $573,766,000 $1,392,472,000 $2,466,568,000 $15,063,000
2018 $18,481,808,000 $1,679,702,000 $1,039,564,000 $510,835,000 $1,254,101,000 $2,145,435,000 $14,716,000
2017 $15,614,164,000 $1,516,380,000 $906,850,000 $756,152,000 $1,059,713,000 $1,101,640,000 $17,402,000