Recent Annual Filings for ATKR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,935,009,000 $3,518,761,000 $2,668,471,000 $706,105,000 $807,634,000 $-506,781,000 $-636,000
2022 $2,598,996,000 $3,913,949,000 $2,710,329,000 $892,014,000 $786,835,000 $-524,206,000 $-187,538,000
2021 $2,210,099,000 $2,928,014,000 $2,148,013,000 $601,685,000 $572,902,000 $-184,456,000 $291,818,000
2020 $1,558,525,000 $1,765,421,000 $1,563,423,000 $151,446,000 $248,762,000 $-61,179,000 $161,056,000
2019 $1,436,995,000 $1,916,538,000 $1,731,869,000 $116,124,000 $209,694,000 $-78,180,000 $-3,247,000
2018 $1,324,060,000 $1,835,139,000 $1,668,787,000 $138,189,000 $145,703,000 $-65,931,000 $80,944,000
2017 $1,215,092,000 $1,503,934,000 $1,377,809,000 $92,607,000 $121,654,000 $-67,760,000 $-154,561,000
2016 $1,164,568,000 $1,523,384,000 $1,436,603,000 $53,879,000 $156,646,000 $-23,908,000 $119,681,000