Recent Annual Filings for ALX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,403,680,000 $224,962,000 $122,549,000 $93,028,000 $109,111,000 $-92,424,000 $338,499,000
2022 $1,397,776,000 $205,814,000 $148,182,000 $75,724,000 $102,549,000 $-92,310,000 $-269,027,000
2021 $1,391,965,000 $206,148,000 $75,566,000 $141,131,000 $118,465,000 $-160,294,000 $33,628,000
2020 $1,404,138,000 $199,142,000 $157,203,000 $41,281,000 $78,066,000 $90,294,000 $135,900,000
2019 $1,265,511,000 $226,350,000 $166,275,000 $60,153,000 $126,070,000 $-92,139,000 $24,482,000
2018 $1,481,257,000 $232,825,000 $176,180,000 $32,843,000 $73,538,000 $-176,185,000 $-103,784,000
2017 $1,632,395,000 $230,574,000 $150,062,000 $77,677,000 $123,426,000 $97,146,000 $18,601,000
2016 $1,451,230,000 $226,936,000 $140,411,000 $81,337,000 $130,820,000 $-85,292,000 $29,577,000