Recent Annual Filings for APEI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $570,103,000 $624,559,000 $591,493,000 $14,462,000 $48,872,000 $-13,191,000 $14,599,000
2023 $557,386,000 $600,545,000 $648,851,000 $-48,744,000 $45,514,000 $-16,858,000 $14,884,000
2022 $615,056,000 $606,328,000 $743,676,000 $-111,999,000 $29,215,000 $-35,711,000 $-20,169,000
2021 $725,608,000 $418,803,000 $388,432,000 $17,860,000 $16,265,000 $242,341,000 $-78,059,000
2020 $371,018,000 $321,785,000 $297,028,000 $18,822,000 $44,810,000 $-15,705,000 $24,946,000
2019 $354,897,000 $286,270,000 $273,514,000 $10,013,000 $38,370,000 $-40,506,000 $-9,391,000
2018 $370,958,000 $297,687,000 $265,161,000 $25,639,000 $44,179,000 $-1,823,000 $32,926,000
2017 $339,038,000 $299,248,000 $264,389,000 $21,121,000 $47,938,000 $-1,489,000 $32,854,000