Recent Annual Filings for AROC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,824,205,000 $1,157,591,000 $925,211,000 $172,231,000 $429,591,000 $733,554,000 $3,082,000
2023 $2,655,950,000 $990,337,000 $848,090,000 $104,998,000 $310,187,000 $-77,924,000 $-228,000
2022 $2,598,750,000 $845,568,000 $784,979,000 $45,280,000 $203,450,000 $-72,537,000 $-3,000
2021 $2,589,966,000 $781,461,000 $742,500,000 $32,239,000 $237,400,000 $-253,035,000 $472,000
2020 $2,779,722,000 $874,970,000 $960,952,000 $-72,064,000 $335,278,000 $-252,835,000 $-2,588,000
2019 $3,109,975,000 $965,485,000 $907,027,000 $90,170,000 $290,147,000 $222,488,000 $-1,925,000
2018 $2,552,515,000 $904,441,000 $869,131,000 $37,741,000 $225,947,000 $54,050,000 $-4,926,000
2017 $2,408,007,000 $794,655,000 $837,274,000 $25,908,000 $201,916,000 $-19,775,000 $7,402,000