Recent Annual Filings for ALG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,450,279,000 $1,628,513,000 $1,478,885,000 $88,852,000 $209,778,000 $-31,973,000 $145,355,000
2023 $1,409,386,000 $1,689,651,000 $1,514,531,000 $149,912,000 $131,154,000 $-76,881,000 $1,650,000
2022 $1,308,508,000 $1,513,616,000 $1,379,306,000 $82,650,000 $14,530,000 $24,455,000 $7,247,000
2021 $1,205,742,000 $1,334,223,000 $1,224,725,000 $71,581,000 $49,667,000 $-23,001,000 $-8,080,000
2020 $1,109,329,000 $1,163,466,000 $1,085,329,000 $57,142,000 $184,333,000 $-164,242,000 $7,884,000
2019 $1,212,763,000 $1,119,138,000 $1,034,803,000 $66,899,000 $88,813,000 $349,223,000 $8,268,000
2018 $721,633,000 $1,008,822,000 $914,291,000 $58,821,000 $12,910,000 $22,208,000 $8,670,000
2017 $639,671,000 $912,380,000 $830,013,000 $61,905,000 $70,804,000 $-12,400,000 $8,580,000