Recent Annual Filings for UA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,760,734,000 $5,701,879,000 $5,439,805,000 $222,761,000 $353,970,000 $-78,690,000 $150,172,000
2023 $4,857,083,000 $5,903,636,000 $5,615,871,000 $359,013,000 $-9,914,000 $-126,375,000 $-294,400,000
2021 $4,991,396,000 $5,683,466,000 $5,292,589,000 $371,635,000 $664,829,000 $-418,737,000 $154,355,000
2020 $5,030,628,000 $4,474,667,000 $4,967,211,000 $-557,597,000 $212,864,000 $436,853,000 $732,507,000
2019 $4,843,531,000 $5,267,132,000 $5,057,290,000 $80,361,000 $509,031,000 $-137,070,000 $229,948,000
2018 $4,245,022,000 $5,193,185,000 $5,260,973,000 $-47,078,000 $628,230,000 $-189,868,000 $247,925,000
2017 $4,006,367,000 $4,976,553,000 $4,986,862,000 $-34,328,000 $234,063,000 $106,759,000 $62,013,000
2016 $3,644,331,000 $4,646,449,000 $4,258,167,000 $249,849,000 $304,487,000 $205,995,000 $120,618,000