Recent Annual Filings for ASLE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $604,723,000 $345,066,000 $337,229,000 $5,851,000 $11,184,000 $3,771,000 $-1,175,000
2023 $553,938,000 $334,503,000 $342,182,000 $-5,563,000 $-174,150,000 $29,744,000 $-141,315,000
2022 $531,579,000 $408,544,000 $350,662,000 $43,861,000 $-113,000 $-24,258,000 $17,000,000
2021 $487,485,000 $340,437,000 $292,663,000 $36,115,000 $79,079,000 $8,588,000 $100,871,000
2020 $389,129,692 $208,938,247 $198,806,054 $8,482,513 $-12,230,900 $45,183,550 $11,811,944