Recent Annual Filings for ARI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,411,591,000 $303,671,000 $422,913,000 $-119,636,000 $200,257,000 $-689,308,000 $91,381,000
2023 $9,296,730,000 $344,591,000 $286,022,000 $58,127,000 $273,862,000 $-343,360,000 $-1,692,000
2022 $9,568,352,000 $303,640,000 $356,008,000 $265,232,000 $267,705,000 $957,974,000 $-115,399,000
2021 $8,416,695,000 $284,510,000 $304,433,000 $223,515,000 $199,383,000 $1,175,187,000 $17,608,000
2020 $6,940,020,000 $278,678,000 $66,599,000 $18,377,000 $164,052,000 $-75,116,000 $-126,784,000
2019 $6,888,363,000 $334,482,000 $64,831,000 $211,649,000 $273,435,000 $1,504,153,000 $342,476,000
2018 $5,095,819,000 $289,292,000 $56,894,000 $192,646,000 $265,964,000 $765,093,000 $32,135,000
2017 $4,088,605,000 $260,464,000 $52,377,000 $160,081,000 $154,873,000 $380,059,000 $-185,782,000