Recent Annual Filings for ARES

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $24,730,500,000 $3,236,285,000 $1,903,222,000 $1,179,947,000 $-233,261,000 $292,126,000 $-41,713,000
2022 $22,002,839,000 $2,880,007,000 $2,369,201,000 $405,004,000 $-734,112,000 $1,128,063,000 $46,332,000
2021 $21,605,164,000 $2,288,876,000 $1,223,186,000 $896,841,000 $-2,596,045,000 $3,503,625,000 $-196,157,000
2020 $15,168,992,000 $1,753,729,000 $1,374,251,000 $324,485,000 $-425,659,000 $943,895,000 $401,428,000
2019 $12,014,196,000 $1,433,126,000 $1,007,946,000 $372,804,000 $-2,083,021,000 $2,122,330,000 $28,137,000
2018 $10,154,692,000 $1,218,239,000 $1,033,898,000 $152,139,000 $-1,417,102,000 $1,405,339,000 $-30,182,000