Recent Annual Filings for ABCL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,488,094,000 $38,025,000 $212,054,000 $-146,727,000 $-43,877,000 $10,356,000 $-254,040,000
2022 $1,540,907,000 $485,424,000 $246,325,000 $156,848,000 $277,360,000 $-1,628,000 $-86,492,000
2021 $1,318,569,000 $375,203,000 $156,054,000 $153,744,000 $244,584,000 $-3,886,000 $-92,974,000