Recent Annual Filings for ALHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $782,063,000 $2,703,561,000 $2,831,611,000 $-128,071,000 $34,770,000 $156,028,000 $229,989,000
2023 $591,880,000 $1,823,630,000 $1,971,825,000 $-148,173,000 $-59,187,000 $105,000 $-206,345,000
2022 $633,863,000 $1,434,159,000 $1,583,459,000 $-149,639,000 $-45,427,000 $16,593,000 $-57,051,000
2021 $630,895,000 $1,167,773,000 $1,363,059,000 $-195,286,000 $-78,776,000 $360,130,000 $260,539,000