Recent Annual Filings for ASUR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $436,638,000 $82,107,000 $92,844,000 $-11,233,000 $9,388,000 $-22,042,000 $-31,910,000
2023 $443,868,000 $119,082,000 $88,536,000 $-7,846,000 $18,900,000 $24,205,000 $13,580,000
2022 $419,908,000 $95,828,000 $73,817,000 $-16,850,000 $13,674,000 $-12,376,000 $-34,701,000
2021 $433,245,000 $76,064,000 $59,376,000 $2,490,000 $1,378,000 $-90,650,000 $-126,242,000
2020 $515,423,000 $65,507,000 $51,846,000 $-15,682,000 $-1,707,000 $202,592,000 $-249,000
2019 $335,044,000 $73,150,000 $94,269,000 $29,410,000 $-450,000 $-82,995,000 $13,382,000
2018 $361,100,000 $88,952,000 $64,385,000 $-8,391,000 $-7,129,000 $101,788,000 $-12,348,000
2017 $203,311,000 $54,442,000 $42,823,000 $-5,790,000 $-36,000 $73,541,000 $15,025,000