Recent Annual Filings for AAT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,273,365,000 $457,855,000 $328,656,000 $68,349,000 $207,106,000 $213,072,000 $342,771,000
2023 $2,984,681,000 $441,164,000 $319,417,000 $61,714,000 $188,751,000 $-65,547,000 $33,317,000
2022 $2,987,881,000 $422,648,000 $307,914,000 $65,719,000 $179,072,000 $-102,704,000 $-89,953,000
2021 $3,017,927,000 $375,828,000 $275,959,000 $38,025,000 $168,329,000 $144,424,000 $475,000
2020 $2,817,309,000 $344,573,000 $255,992,000 $30,609,000 $126,985,000 $-28,310,000 $29,598,000
2019 $2,790,333,000 $366,741,000 $253,056,000 $53,313,000 $153,816,000 $497,546,000 $52,179,000
2018 $2,198,250,000 $330,867,000 $251,332,000 $26,043,000 $136,507,000 $-106,842,000 $-34,682,000
2017 $2,259,864,000 $314,983,000 $221,337,000 $39,404,000 $145,853,000 $221,914,000 $37,203,000