Recent Annual Filings for ATLC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,270,707,000 $1,311,444,000 $1,172,867,000 $110,106,000 $469,405,000 $393,609,000 $115,983,000
2023 $2,706,445,000 $1,155,876,000 $1,027,318,000 $101,954,000 $459,317,000 $163,345,000 $-49,541,000
2022 $2,387,814,000 $1,046,913,000 $897,641,000 $134,612,000 $346,130,000 $261,255,000 $-73,400,000
2021 $1,943,863,000 $748,056,000 $528,483,000 $177,789,000 $212,366,000 $510,328,000 $247,667,000
2020 $1,207,214,000 $563,410,000 $449,019,000 $93,917,000 $212,734,000 $162,385,000 $82,567,000
2019 $936,266,000 $13,754,000 $-18,009,000 $22,652,000 $99,963,000 $368,720,000 $34,640,000
2018 $582,608,000 $5,556,000 $2,074,000 $13,348,000 $42,856,000 $161,747,000 $71,096,000
2017 $425,613,000 $114,707,000 $161,957,000 $-43,050,000 $-25,465,000 $84,639,000 $-33,563,000