Recent Annual Filings for ALEC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $468,303,000 $100,600,000 $219,500,000 $-118,972,000 $-229,905,000 $81,540,000 $-41,234,000
2023 $621,827,000 $97,062,000 $248,802,000 $-125,632,000 $-184,162,000 $2,550,000 $-79,694,000
2022 $787,648,000 $133,617,000 $271,451,000 $-136,942,000 $-20,329,000 $4,514,000 $-174,829,000
2021 $814,658,000 $207,085,000 $243,414,000 $-37,886,000 $298,551,000 $30,295,000 $279,183,000
2020 $488,251,000 $21,098,000 $211,326,000 $-189,756,000 $-166,734,000 $232,113,000 $-39,672,000
2019 $421,913,000 $21,219,000 $126,604,000 $-105,201,000 $-99,308,000 $172,353,000 $24,171,000