Recent Annual Filings for ARHS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,206,316,000 $1,271,107,000 $1,180,185,000 $68,550,000 $147,109,000 $-72,951,000 $-25,376,000
2023 $1,114,094,000 $1,287,704,000 $1,119,015,000 $125,239,000 $172,299,000 $-1,799,000 $73,778,000
2022 $931,792,000 $1,228,928,000 $1,046,350,000 $136,634,000 $74,454,000 $-177,000 $21,619,000
2021 $586,550,000 $796,922,000 $770,134,000 $36,932,000 $146,243,000 $-31,467,000 $66,906,000