Recent Annual Filings for AAP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,798,109,000 $9,094,327,000 $9,862,425,000 $-330,702,000 $84,633,000 $-75,010,000 $1,365,946,000
2023 $12,276,326,000 $11,287,607,000 $11,255,760,000 $22,198,000 $287,375,000 $189,267,000 $232,666,000
2022 $12,018,482,000 $11,154,722,000 $10,506,035,000 $479,356,000 $722,222,000 $-620,704,000 $-332,146,000
2020 $11,839,636,000 $10,106,321,000 $9,455,306,000 $500,831,000 $969,688,000 $-285,997,000 $416,327,000
2019 $11,248,525,000 $9,709,003,000 $9,071,257,000 $496,520,000 $866,909,000 $-882,153,000 $-477,862,000
2018 $9,040,648,000 $9,580,554,000 $9,025,290,000 $404,608,000 $811,028,000 $-263,915,000 $349,590,000
2017 $8,482,301,000 $9,373,784,000 $8,853,525,000 $490,252,000 $600,805,000 $-14,872,000 $411,759,000
2016 $8,315,033,000 $9,567,679,000 $8,828,844,000 $463,980,000 $500,874,000 $-194,691,000 $44,396,000