Recent Annual Filings for AUB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $24,585,323,000 $1,227,535,000 $967,741,000 $192,794,000 $308,456,000 $-36,826,000 $-24,057,000
2023 $21,166,197,000 $954,450,000 $714,549,000 $276,755,000 $263,972,000 $383,416,000 $58,183,000
2022 $20,461,138,000 $660,435,000 $380,481,000 $-202,411,000 $403,965,000 $375,182,000 $-482,553,000
2021 $20,064,796,000 $592,359,000 $273,600,000 $211,537,000 $337,791,000 $316,858,000 $309,207,000
2020 $19,628,449,000 $653,454,000 $467,160,000 $193,668,000 $231,922,000 $1,743,646,000 $57,262,000
2019 $17,562,990,000 $699,332,000 $468,077,000 $239,376,000 $194,799,000 $405,435,000 $174,833,000