Recent Annual Filings for USAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,745,601,000 $950,449,000 $656,000,000 $99,575,000 $341,334,000 $-139,317,000 $3,000
2023 $2,736,760,000 $846,178,000 $614,197,000 $68,268,000 $271,885,000 $-39,256,000 $-24,000
2022 $2,665,724,000 $704,598,000 $535,305,000 $30,318,000 $260,590,000 $-130,610,000 $35,000
2021 $2,767,979,000 $632,645,000 $491,773,000 $10,279,000 $265,425,000 $-226,239,000 $-2,000
2020 $2,948,700,000 $667,683,000 $1,132,535,000 $-594,732,000 $293,198,000 $-188,107,000 $-8,000
2019 $3,730,407,000 $698,365,000 $657,047,000 $39,132,000 $300,580,000 $-156,179,000 $-89,000
2018 $3,774,649,000 $584,352,000 $597,377,000 $-10,551,000 $226,340,000 $549,409,000 $-3,914,000
2017 $1,492,087,000 $280,222,000 $268,244,000 $11,440,000 $124,644,000 $-19,431,000 $-18,000