Recent Annual Filings for ASH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,645,000,000 $2,113,000,000 $2,137,000,000 $224,000,000 $411,000,000 $-479,000,000 $-119,000,000
2023 $5,939,000,000 $2,191,000,000 $2,031,000,000 $244,000,000 $243,000,000 $-371,000,000 $-237,000,000
2022 $6,213,000,000 $2,391,000,000 $2,185,000,000 $730,000,000 $-213,000,000 $-896,000,000 $447,000,000
2021 $6,612,000,000 $2,111,000,000 $1,976,000,000 $231,000,000 $560,000,000 $-426,000,000 $-244,000,000
2020 $6,877,000,000 $2,326,000,000 $2,829,000,000 $-481,000,000 $203,000,000 $9,000,000 $222,000,000
2019 $7,251,000,000 $2,493,000,000 $2,423,000,000 $420,000,000 $241,000,000 $-1,149,000,000 $-62,000,000
2018 $8,252,000,000 $3,743,000,000 $3,629,000,000 $45,000,000 $297,000,000 $-368,000,000 $-272,000,000
2017 $9,063,000,000 $1,193,000,000 $1,189,000,000 $-137,000,000 $-435,000,000 $-484,000,000