Recent Annual Filings for ASB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $41,015,855,000 $1,102,756,000 $896,704,000 $284,659,000 $442,740,000 $1,295,885,000 $302,368,000
2022 $39,405,727,000 $1,239,691,000 $780,061,000 $103,639,000 $846,566,000 $4,004,185,000 $-404,060,000
2021 $35,104,253,000 $1,058,219,000 $621,912,000 $328,059,000 $529,551,000 $1,364,102,000 $309,467,000
2020 $33,419,783,000 $1,277,012,000 $950,040,000 $352,572,000 $550,020,000 $371,020,000 $127,303,000
2019 $32,386,478,000 $1,216,498,000 $809,989,000 $418,579,000 $574,260,000 $-2,479,660,000 $-287,954,000
2018 $33,647,859,000 $1,235,148,000 $821,799,000 $271,348,000 $496,567,000 $44,983,000 $160,678,000
2017 $30,483,594,000 $1,073,900,000 $735,133,000 $221,185,000 $458,368,000 $1,012,275,000 $73,785,000
2016 $29,139,315,000 $1,060,156,000 $772,560,000 $178,211,000 $628,942,000 $1,180,188,000 $168,548,000