Recent Annual Filings for ASIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,594,920,000 $1,517,557,000 $1,471,982,000 $54,263,000 $135,413,000 $-2,715,000 $-10,204,000
2023 $1,496,020,000 $1,533,599,000 $1,464,376,000 $54,676,000 $117,550,000 $-7,870,000 $-1,217,000
2022 $1,495,331,000 $1,945,640,000 $1,719,849,000 $174,228,000 $273,601,000 $-68,443,000 $15,885,000
2021 $1,311,999,000 $1,684,625,000 $1,499,509,000 $149,384,000 $218,849,000 $-146,793,000 $4,494,000
2020 $1,263,407,000 $1,157,917,000 $1,102,884,000 $39,396,000 $111,847,000 $-24,188,000 $3,556,000
2019 $1,235,969,000 $1,297,393,000 $1,244,045,000 $34,370,000 $120,385,000 $29,982,000 $-2,758,000
2018 $1,034,626,000 $1,514,984,000 $1,429,216,000 $72,816,000 $173,385,000 $-106,818,000 $-45,624,000
2017 $1,050,274,000 $1,475,194,000 $1,330,562,000 $140,688,000 $134,607,000 $-127,000 $41,233,000