Recent Annual Filings for ATUS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $31,701,370,000 $8,954,417,000 $7,274,325,000 $-69,252,000 $1,582,401,000 $-171,978,000 $-45,514,000
2023 $31,923,616,000 $9,237,064,000 $7,535,124,000 $74,387,000 $1,826,398,000 $-122,591,000 $-3,413,000
2022 $33,664,966,000 $9,647,659,000 $7,845,065,000 $206,191,000 $2,366,901,000 $-335,906,000 $109,776,000
2021 $33,215,034,000 $10,090,849,000 $7,566,222,000 $1,013,783,000 $2,854,078,000 $-1,362,524,000 $-82,711,000
2020 $33,376,660,000 $9,894,642,000 $7,779,353,000 $450,375,000 $2,980,164,000 $-2,181,045,000 $-423,474,000
2019 $34,108,122,000 $9,760,859,000 $7,937,048,000 $148,472,000 $2,554,169,000 $-624,412,000 $403,122,000
2018 $33,613,808,000 $9,566,608,000 $7,884,229,000 $22,836,000 $2,508,317,000 $-1,390,996,000 $-31,062,000
2017 $34,775,225,000 $9,326,570,000 $8,461,186,000 $1,509,617,000 $2,001,743,000 $-1,099,041,000 $-229,512,000