Recent Annual Filings for ARIS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,420,114,000 $435,444,000 $364,925,000 $60,178,000 $178,876,000 $-9,696,000 $23,610,000
2023 $1,340,481,000 $392,118,000 $341,212,000 $43,412,000 $183,873,000 $-30,350,000 $3,941,000
2022 $1,303,366,000 $321,001,000 $315,680,000 $4,797,000 $70,213,000 $7,779,000 $-58,933,000
2021 $1,126,693,000 $229,251,000 $235,962,000 $-7,009,000 $58,812,000 $50,975,000 $35,123,000
2016 $49,343,000 $47,693,000 $44,599,000 $1,713,000 $7,725,000 $-1,381,000 $2,834,000
2015 $49,748,000 $40,443,000 $38,561,000 $1,117,000 $6,313,000 $6,127,000 $476,000
2014 $32,348,000 $33,019,000 $32,880,000 $-105,000 $2,383,000 $51,000 $-387,000