Recent Annual Filings for APLE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,969,920,000 $1,431,468,000 $1,158,453,000 $209,247,000 $405,350,000 $-189,191,000 $449,000
2023 $4,937,298,000 $1,343,800,000 $1,096,319,000 $161,012,000 $399,044,000 $-34,307,000 $106,000
2022 $4,772,714,000 $1,238,417,000 $1,033,724,000 $197,194,000 $368,446,000 $-228,973,000 $3,563,000
2021 $4,790,527,000 $933,869,000 $850,421,000 $46,122,000 $217,562,000 $-61,298,000 $5,581,000
2020 $4,829,759,000 $601,879,000 $714,773,000 $-211,311,000 $26,728,000 $55,240,000 $-293,000
2019 $4,942,411,000 $1,266,597,000 $1,094,001,000 $157,213,000 $381,674,000 $-366,321,000 $1,029,000
2018 $4,928,672,000 $1,270,555,000 $1,063,882,000 $206,314,000 $404,812,000 $-190,811,000 $3,841,000
2017 $4,902,338,000 $1,238,622,000 $1,055,283,000 $187,681,000 $384,741,000 $-225,449,000