Recent Annual Filings for APO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $377,895,000,000 $26,114,000,000 $18,679,000,000 $6,355,000,000 $3,253,000,000 $57,972,000,000 $-579,000,000
2023 $313,488,000,000 $32,644,000,000 $27,058,000,000 $8,536,000,000 $6,322,000,000 $42,638,000,000 $6,563,000,000
2022 $259,333,000,000 $10,968,000,000 $16,783,000,000 $-19,164,000,000 $3,789,000,000 $28,710,000,000 $9,040,000,000
2021 $30,501,894,000 $5,951,598,000 $1,089,324,000 $4,235,862,000 $1,064,046,000 $109,432,000 $-378,197,000
2020 $23,669,084,000 $2,354,019,000 $1,800,251,000 $507,422,000 $-1,616,430,000 $3,299,310,000 $845,221,000
2019 $8,542,117,000 $2,931,849,000 $1,524,000,000 $1,528,928,000 $1,082,694,000 $139,713,000 $958,435,000
2018 $5,991,654,000 $1,093,065,000 $987,793,000 $-508,000 $814,259,000 $-752,184,000 $-185,185,000
2017 $6,991,070,000 $2,610,173,000 $840,589,000 $1,457,733,000 $808,258,000 $-453,635,000 $-62,391,000