Recent Annual Filings for ARCB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,485,094,000 $4,427,443,000 $4,254,824,000 $192,654,000 $322,167,000 $-196,610,000 $103,854,000
2022 $2,494,286,000 $5,324,052,000 $4,924,783,000 $301,613,000 $470,819,000 $-127,984,000 $81,752,000
2021 $2,112,676,000 $3,980,067,000 $3,699,081,000 $216,030,000 $323,515,000 $-247,645,000 $-227,334,000
2020 $1,779,008,000 $2,940,163,000 $2,841,885,000 $72,087,000 $205,989,000 $-111,405,000 $102,045,000
2019 $1,651,207,000 $2,988,310,000 $2,924,540,000 $54,426,000 $170,364,000 $-60,400,000 $11,723,000
2018 $1,539,231,000 $3,093,788,000 $2,984,690,000 $77,174,000 $255,347,000 $-90,983,000 $69,414,000
2017 $1,365,641,000 $2,826,457,000 $2,772,947,000 $62,569,000 $151,915,000 $-77,916,000 $5,530,000
2016 $1,309,992,000 $2,700,219,000 $2,671,249,000 $22,731,000 $110,258,000 $-73,779,000 $-50,693,000