Recent Annual Filings for APP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,359,187,000 $3,283,087,000 $2,634,880,000 $374,819,000 $1,061,510,000 $-1,562,791,000 $-578,332,000
2022 $5,847,846,000 $2,817,058,000 $2,864,849,000 $-230,875,000 $412,773,000 $-526,848,000 $-1,490,020,000
2021 $6,163,579,000 $2,793,104,000 $2,643,088,000 $-10,720,000 $361,851,000 $3,109,546,000 $2,253,269,000
2014 $294,389,000 $608,891,000 $675,549,000 $-71,426,000 $-5,212,000 $15,552,000 $-333,000
2013 $333,752,000 $633,941,000 $738,468,000 $-107,879,000 $-12,723,000 $34,228,000 $-4,177,000
2012 $328,212,000 $617,310,000 $650,769,000 $-36,641,000 $23,589,000 $4,214,000 $2,560,000
2011 $324,721,000 $547,336,000 $584,929,000 $-39,502,000 $2,305,000 $12,582,000 $2,637,000