Recent Annual Filings for ALEX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,670,432,000 $236,641,000 $159,073,000 $63,421,000 $97,991,000 $-61,957,000 $19,919,000
2023 $1,646,200,000 $208,900,000 $145,400,000 $34,400,000 $67,100,000 $-94,900,000 $-20,700,000
2022 $1,787,300,000 $230,500,000 $168,800,000 $33,000,000 $34,000,000 $-115,200,000 $-36,600,000
2021 $1,879,800,000 $379,300,000 $332,100,000 $15,100,000 $124,200,000 $-207,100,000 $13,600,000
2020 $2,036,000,000 $305,300,000 $285,200,000 $-6,000,000 $63,100,000 $-33,100,000 $42,000,000
2019 $2,084,300,000 $435,200,000 $449,500,000 $-35,300,000 $157,600,000 $-136,700,000 $-219,500,000
2018 $2,225,200,000 $644,400,000 $523,000,000 $-70,300,000 $309,900,000 $-73,500,000 $131,700,000
2017 $2,231,200,000 $425,500,000 $406,000,000 $231,400,000 $-1,300,000 $96,100,000 $90,900,000