Recent Annual Filings for ASRV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,422,362,000 $15,621,000 $11,222,000 $8,494,000 $2,687,000 $24,131,000 $3,719,000
2023 $1,389,638,000 $14,493,000 $18,881,000 $-802,000 $6,288,000 $24,771,000 $-8,935,000
2022 $1,363,874,000 $14,737,000 $5,536,000 $-8,560,000 $5,209,000 $32,933,000 $-18,139,000
2021 $1,335,560,000 $14,968,000 $6,194,000 $13,758,000 $9,939,000 $146,000 $9,597,000
2020 $1,279,713,000 $12,823,000 $7,011,000 $7,571,000 $-1,373,000 $106,026,000 $9,336,000
2019 $1,171,184,000 $49,767,000 $42,167,000 $4,082,000 $4,890,000 $-4,594,000 $-12,726,000
2018 $1,160,680,000 $47,094,000 $37,712,000 $6,493,000 $7,984,000 $-9,969,000 $706,000
2017 $1,167,655,000 $44,356,000 $35,716,000 $4,051,000 $7,681,000 $12,659,000 $115,000