Recent Annual Filings for ARKO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,620,658,000 $8,731,962,000 $8,705,097,000 $20,845,000 $221,858,000 $-56,004,000 $50,987,000
2023 $3,650,364,000 $9,412,731,000 $9,365,960,000 $34,566,000 $136,094,000 $85,357,000 $-75,348,000
2022 $3,255,170,000 $9,142,799,000 $9,035,190,000 $71,978,000 $209,256,000 $10,555,000 $44,226,000
2021 $2,942,275,000 $7,417,398,000 $7,346,523,000 $59,427,000 $159,191,000 $-26,384,000 $-37,506,000