Recent Annual Filings for APPF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $408,889,000 $620,445,000 $619,482,000 $4,485,000 $60,283,000 $-25,961,000 $-21,260,000
2022 $381,217,000 $471,883,000 $544,253,000 $-69,609,000 $25,365,000 $-6,163,000 $12,736,000
2021 $408,017,000 $359,370,000 $371,248,000 $778,000 $35,391,000 $-7,348,000 $-82,416,000
2020 $389,480,000 $310,056,000 $300,273,000 $158,426,000 $48,299,000 $-70,358,000 $124,452,000
2019 $260,102,000 $256,012,000 $249,551,000 $36,493,000 $38,887,000 $-7,272,000 $-58,259,000
2018 $175,741,000 $190,071,000 $170,415,000 $19,998,000 $36,268,000 $26,346,000 $57,970,000
2017 $110,248,000 $143,803,000 $134,468,000 $9,558,000 $29,371,000 $-1,133,000 $5,410,000
2016 $92,583,000 $105,586,000 $114,009,000 $-8,179,000 $11,500,000 $201,000 $-1,364,000