Recent Annual Filings for AB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,077,540,000 $273,148,000 $293,975,000 $-293,975,000
2022 $2,074,626,000 $255,862,000 $362,614,000 $-360,846,000
2021 $1,623,764,000 $387,036,000 $355,109,000 $-351,707,000
2020 $1,606,033,000 $286,110,000 $270,014,000 $-269,867,000
2019 $1,554,264,000 $237,396,000 $222,755,000 $-211,244,000
2018 $1,490,701,000 $236,399,000 $279,282,000 $-262,693,000
2017 $1,544,704,000 $215,984,000 $202,410,000 $-182,300,000
2016 $1,540,508,000 $209,244,000 $169,531,000 $-163,423,000