Recent Annual Filings for ALRM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,038,208,000 $939,827,000 $798,020,000 $121,930,000 $206,413,000 $346,430,000 $528,053,000
2023 $1,439,563,000 $881,682,000 $783,857,000 $81,738,000 $135,965,000 $-31,865,000 $78,200,000
2022 $1,329,375,000 $842,559,000 $785,966,000 $55,631,000 $56,901,000 $-76,324,000 $-87,742,000
2021 $1,232,015,000 $748,969,000 $702,900,000 $51,175,000 $103,157,000 $374,370,000 $457,162,000
2020 $731,687,000 $618,003,000 $537,843,000 $76,660,000 $102,080,000 $52,024,000 $133,830,000
2019 $557,799,000 $502,363,000 $443,467,000 $53,330,000 $47,112,000 $-130,000 $-26,432,000
2018 $440,985,000 $420,494,000 $408,795,000 $21,524,000 $60,710,000 $2,399,000 $49,732,000
2017 $371,641,000 $338,937,000 $306,696,000 $29,251,000 $57,187,000 $67,303,000 $-44,305,000