Recent Annual Filings for ATR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,432,278,000 $3,582,890,000 $3,086,393,000 $253,597,000 $643,413,000 $-225,344,000 $201,000
2023 $4,451,890,000 $3,487,450,000 $3,083,431,000 $317,096,000 $575,239,000 $-171,554,000 $81,411,000
2022 $4,203,458,000 $3,322,249,000 $2,942,976,000 $213,039,000 $478,617,000 $-162,096,000 $19,807,000
2021 $4,141,364,000 $3,227,221,000 $2,879,873,000 $209,039,000 $363,443,000 $-81,518,000 $-182,045,000
2020 $3,990,053,000 $2,929,340,000 $2,589,842,000 $274,339,000 $570,153,000 $-73,723,000 $57,997,000
2019 $3,562,119,000 $2,859,732,000 $2,488,039,000 $210,779,000 $514,457,000 $-197,135,000 $-19,850,000
2018 $3,377,735,000 $2,764,761,000 $2,478,492,000 $144,206,000 $313,628,000 $-14,872,000 $-445,817,000
2017 $3,137,823,000 $2,469,283,000 $2,147,764,000 $286,455,000 $324,729,000 $114,792,000 $246,353,000