Recent Annual Filings for ARTNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $798,623,000 $107,952,000 $81,801,000 $20,394,000 $36,823,000 $7,138,000 $-1,358,000
2023 $766,832,000 $98,861,000 $76,415,000 $16,699,000 $31,851,000 $31,423,000 $1,196,000
2022 $719,791,000 $98,897,000 $74,991,000 $17,998,000 $24,265,000 $31,711,000 $1,217,000
2021 $625,211,000 $90,859,000 $68,565,000 $24,419,000 $31,310,000 $9,478,000 $64,000
2020 $593,218,000 $88,141,000 $65,640,000 $16,817,000 $20,358,000 $19,046,000 $-568,000
2019 $560,368,000 $83,595,000 $63,489,000 $14,925,000 $18,870,000 $22,059,000 $303,000
2018 $529,830,000 $80,411,000 $61,141,000 $14,278,000 $29,141,000 $19,204,000 $-659,000
2017 $494,639,000 $82,235,000 $60,957,000 $13,983,000 $35,779,000 $5,954,000 $726,000