Recent Annual Filings for ATNI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,727,103,000 $729,075,000 $780,041,000 $-29,343,000 $127,916,000 $2,911,000 $27,077,000
2023 $1,783,714,000 $762,216,000 $789,755,000 $-16,696,000 $111,632,000 $55,919,000 $2,439,000
2022 $1,707,869,000 $725,745,000 $733,801,000 $-6,146,000 $102,912,000 $43,364,000 $-20,969,000
2021 $1,608,604,000 $602,707,000 $625,394,000 $-16,314,000 $80,548,000 $321,731,000 $-24,300,000
2020 $1,083,711,000 $455,444,000 $455,351,000 $2,852,000 $86,284,000 $-73,367,000 $-57,361,000
2019 $1,130,726,000 $438,722,000 $432,650,000 $294,000 $87,903,000 $-29,908,000 $-30,549,000
2018 $1,107,304,000 $451,207,000 $397,465,000 $29,720,000 $115,865,000 $-55,230,000 $-26,983,000
2017 $1,205,605,000 $481,193,000 $433,640,000 $50,912,000 $145,725,000 $-40,923,000 $-61,765,000