Recent Annual Filings for ARCT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $344,069,000 $152,310,000 $233,255,000 $-80,941,000 $-59,747,000 $5,418,000 $-54,977,000
2023 $429,402,000 $166,799,000 $194,689,000 $-29,725,000 $-18,099,000 $-24,087,000 $-45,087,000
2022 $450,387,000 $205,999,000 $195,355,000 $9,349,000 $31,993,000 $-2,859,000 $21,408,000
2021 $392,814,000 $12,359,000 $216,033,000 $-203,674,000 $-135,043,000 $48,016,000 $-90,433,000
2020 $476,456,000 $9,539,000 $81,687,000 $-72,148,000 $-42,861,000 $436,145,000 $391,542,000
2019 $82,143,000 $20,789,000 $46,780,000 $-25,991,000 $-6,445,000 $41,907,000 $34,644,000
2018 $44,198,000 $15,753,000 $37,538,000 $-21,782,000 $-20,760,000 $10,204,000 $11,578,000