Recent Annual Filings for ATI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,985,100,000 $4,173,700,000 $3,878,500,000 $407,200,000 $85,900,000 $267,200,000 $159,900,000
2022 $4,445,600,000 $3,836,000,000 $3,674,000,000 $394,700,000 $224,900,000 $-201,900,000 $-103,700,000
2021 $4,285,200,000 $2,799,800,000 $2,789,200,000 $220,500,000 $16,100,000 $103,000,000 $41,800,000
2020 $4,034,900,000 $2,982,100,000 $4,464,000,000 $-1,570,100,000 $166,900,000 $116,900,000 $155,100,000
2019 $5,634,600,000 $4,122,500,000 $3,880,900,000 $200,900,000 $230,100,000 $-203,000,000 $108,800,000
2018 $5,501,800,000 $4,046,600,000 $3,798,900,000 $124,500,000 $392,800,000 $-7,300,000 $240,400,000
2017 $5,185,400,000 $3,525,100,000 $3,611,600,000 $-6,200,000 $22,400,000 $9,200,000 $-88,000,000
2016 $5,170,000,000 $3,134,600,000 $3,868,600,000 $-716,000,000 $-43,700,000 $323,500,000 $79,800,000