Recent Annual Filings for ATO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,194,465,000 $4,165,187,000 $2,929,411,000 $990,082,000 $1,733,746,000 $1,478,631,000 $289,608,000
2023 $22,516,968,000 $4,275,357,000 $3,275,716,000 $1,035,278,000 $3,459,743,000 $-696,769,000 $-32,306,000
2022 $22,192,989,000 $4,201,662,000 $3,349,754,000 $1,073,707,000 $977,584,000 $1,387,205,000 $-65,169,000
2021 $19,608,662,000 $3,407,490,000 $2,588,191,000 $792,955,000 $-1,084,251,000 $3,143,821,000 $95,915,000
2020 $15,359,032,000 $2,821,137,000 $2,074,341,000 $658,437,000 $1,037,999,000 $883,777,000 $-3,742,000
2019 $13,367,619,000 $2,901,848,000 $2,251,539,000 $488,680,000 $968,769,000 $725,670,000 $10,779,000
2018 $11,874,437,000 $3,115,546,000 $2,504,402,000 $647,605,000 $1,124,662,000 $326,266,000 $-12,638,000
2017 $10,749,596,000 $2,759,735,000 $2,155,641,000 $479,189,000 $867,090,000 $168,091,000 $-21,125,000