Recent Annual Filings for ATLO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,133,180,000 $82,607,000 $70,366,000 $18,042,000 $14,299,000 $-40,153,000 $46,126,000
2023 $2,155,481,000 $74,301,000 $61,412,000 $27,000,000 $19,207,000 $-11,052,000 $27,217,000
2022 $2,134,926,000 $61,553,000 $36,392,000 $-46,641,000 $21,231,000 $44,908,000 $-61,245,000
2021 $2,137,041,000 $60,482,000 $29,809,000 $10,754,000 $30,539,000 $154,129,000 $-83,968,000
2020 $1,975,647,743 $62,940,647 $39,709,584 $30,757,881 $29,711,791 $205,833,084 $-9,798,261
2019 $1,737,182,505 $56,177,493 $35,135,724 $25,384,012 $20,179,712 $63,014,043 $4,232,814
2018 $1,455,687,351 $49,726,963 $28,306,985 $13,453,860 $20,705,081 $-25,353,632 $3,986,516
2017 $1,375,059,650 $45,794,435 $24,512,445 $13,841,503 $18,846,070 $-5,031,421 $-3,080,518