Recent Annual Filings for ALTI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,255,833,000 $206,935,000 $402,373,000 $-188,946,000 $-50,652,000 $174,259,000 $47,249,000
2023 $1,266,567,000 $250,880,000 $567,217,000 $-285,531,000 $-81,706,000 $36,019,000 $-175,841,000
2012 $66,389,000 $1,547,000 $20,138,000 $-18,098,000 $-20,590,000 $18,481,000 $-34,147,000
2011 $63,532,000 $5,226,000 $25,159,000 $-19,933,000 $-14,647,000 $57,075,000 $41,824,000