Recent Annual Filings for FTAI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,964,685,000 $1,170,896,000 $992,863,000 $243,817,000 $128,982,000 $282,208,000 $37,841,000
2022 $2,429,577,000 $708,411,000 $870,912,000 $-394,990,000 $-20,657,000 $44,914,000 $-386,996,000
2021 $4,863,854,000 $455,802,000 $611,391,000 $-260,850,000 $-22,044,000 $1,587,645,000 $278,643,000
2020 $3,387,977,000 $366,496,000 $460,642,000 $-130,301,000 $63,106,000 $364,918,000 $-81,099,000
2019 $3,236,922,000 $578,774,000 $626,767,000 $208,156,000 $151,043,000 $465,873,000 $121,680,000
2018 $2,638,778,000 $379,878,000 $401,542,000 $-15,704,000 $133,697,000 $597,867,000 $28,031,000
2017 $1,955,806,000 $217,659,000 $256,930,000 $-30,370,000 $68,497,000 $363,078,000 $-8,655,000
2016 $1,547,312,000 $148,720,000 $180,708,000 $-33,565,000 $30,903,000 $-131,453,000 $-313,648,000