Recent Annual Filings for ARE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $37,527,449,000 $3,116,394,000 $2,688,910,000 $480,377,000 $1,504,524,000 $-93,315,000 $-100,924,000
2023 $36,771,402,000 $2,885,699,000 $2,687,325,000 $285,910,000 $1,630,550,000 $674,156,000 $-197,204,000
2022 $35,523,399,000 $2,588,962,000 $2,125,066,000 $657,183,000 $1,294,321,000 $4,229,772,000 $442,748,000
2021 $30,219,373,000 $2,114,150,000 $1,858,170,000 $653,613,000 $1,010,197,000 $5,916,361,000 $-182,478,000
2020 $22,827,878,000 $1,885,637,000 $1,642,024,000 $830,295,000 $882,510,000 $2,750,356,000 $355,016,000
2019 $18,390,503,000 $1,531,296,000 $1,332,506,000 $404,733,000 $683,857,000 $2,927,482,000 $-29,441,000
2018 $14,464,956,000 $1,327,459,000 $1,114,114,000 $392,105,000 $570,339,000 $1,588,433,000 $-5,056,000
2017 $12,103,953,000 $1,128,097,000 $949,700,000 $238,807,000 $450,325,000 $1,415,427,000 $129,349,000