Recent Annual Filings for ARLP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,788,426,000 $2,566,701,000 $1,894,304,000 $615,699,000 $830,642,000 $-507,119,000 $-236,210,000
2022 $2,661,473,000 $2,406,511,000 $1,748,075,000 $602,323,000 $791,812,000 $-214,854,000 $173,620,000
2021 $2,159,406,000 $1,569,976,000 $1,350,773,000 $202,200,000 $425,202,000 $-215,685,000 $66,829,000
2020 $2,166,016,000 $1,328,129,000 $1,410,981,000 $-138,732,000 $400,645,000 $-256,429,000 $19,092,000
2019 $2,586,694,000 $1,961,720,000 $1,702,222,000 $375,804,000 $514,895,000 $-234,447,000 $-207,668,000
2018 $2,394,748,000 $2,002,857,000 $1,630,570,000 $372,539,000 $694,345,000 $-211,702,000 $237,394,000
2017 $2,219,371,000 $1,796,220,000 $1,467,608,000 $290,801,000 $556,116,000 $-344,371,000 $-33,026,000
2016 $2,193,042,000 $1,931,453,000 $1,565,511,000 $335,555,000 $703,544,000 $-505,405,000 $6,351,000