Recent Annual Filings for AROW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,306,348,000 $44,672,000 $34,469,000 $66,491,000 $12,010,000
2023 $4,169,868,000 $104,832,000 $46,314,000 $20,580,000 $139,946,000 $77,876,000
2022 $3,969,509,000 $118,343,000 $-1,203,000 $59,713,000 $-59,687,000 $-393,036,000
2021 $4,027,952,000 $110,355,000 $51,020,000 $68,206,000 $283,101,000 $76,705,000
2020 $3,688,636,000 $99,202,000 $46,368,000 $42,314,000 $455,773,000 $310,770,000
2019 $3,184,275,000 $88,049,000 $44,928,000 $43,944,000 $134,269,000 $-14,018,000
2018 $2,988,334,000 $84,018,000 $31,314,000 $41,976,000 $197,195,000 $11,401,000
2017 $2,760,465,000 $77,651,000 $29,291,000 $37,827,000 $126,222,000 $15,483,000