Recent Annual Filings for AVB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,000,737,000 $2,913,757,000 $2,245,872,000 $1,100,182,000 $1,607,878,000 $-874,898,000 $-263,884,000
2023 $20,678,214,000 $2,767,909,000 $2,130,370,000 $943,517,000 $1,560,029,000 $-834,359,000 $-203,285,000
2022 $20,457,764,000 $2,593,446,000 $2,056,441,000 $1,164,305,000 $1,421,932,000 $-671,056,000 $190,457,000
2021 $19,902,016,000 $2,294,850,000 $1,926,701,000 $1,018,443,000 $1,203,170,000 $-348,861,000 $230,256,000
2020 $19,199,144,000 $2,301,261,000 $1,826,659,000 $818,883,000 $1,219,615,000 $-854,264,000 $185,918,000
2019 $19,121,051,000 $2,324,626,000 $1,525,520,000 $780,615,000 $1,321,804,000 $-218,185,000 $-90,250,000
2018 $18,380,200,000 $2,284,535,000 $1,310,520,000 $985,800,000 $1,301,111,000 $-688,502,000 $15,958,000
2017 $18,414,821,000 $2,158,628,000 $1,281,827,000 $870,012,000 $1,256,257,000 $-418,947,000 $-128,071,000