Recent Annual Filings for AP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $530,896,000 $418,305,000 $406,136,000 $-1,833,000 $18,028,000 $-1,353,000 $8,141,000
2023 $565,654,000 $422,340,000 $456,914,000 $-42,943,000 $-3,686,000 $21,688,000 $-1,449,000
2022 $502,774,000 $390,189,000 $387,411,000 $-53,000 $-27,208,000 $42,587,000 $-1,602,000
2021 $485,632,000 $344,920,000 $358,536,000 $1,692,000 $-15,866,000 $24,402,000 $-6,505,000
2020 $463,208,000 $328,544,000 $322,098,000 $9,656,000 $33,635,000 $-17,220,000 $9,882,000
2019 $506,560,000 $397,904,000 $408,812,000 $-38,872,000 $-7,097,000 $-3,780,000 $-13,877,000
2018 $571,119,000 $419,432,000 $463,239,000 $-71,695,000 $-6,724,000 $11,246,000 $137,000
2017 $565,599,000 $432,401,000 $446,094,000 $11,028,000 $-15,839,000 $9,649,000 $-17,879,000