Recent Annual Filings for ALTO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $454,241,000 $1,222,940,000 $1,250,848,000 $-27,346,000 $22,025,000 $6,961,000 $-4,045,000
2022 $478,321,000 $1,335,621,000 $1,396,980,000 $-39,491,000 $6,049,000 $19,014,000 $-12,600,000
2021 $484,953,000 $1,207,892,000 $1,160,341,000 $49,676,000 $26,821,000 $-39,999,000 $13,938,000