Recent Annual Filings for ACA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,915,500,000 $2,569,900,000 $2,372,300,000 $92,200,000 $502,000,000 $1,089,400,000 $82,500,000
2023 $3,577,900,000 $2,307,900,000 $2,090,600,000 $158,700,000 $261,000,000 $-30,800,000 $-55,600,000
2022 $3,340,600,000 $2,242,800,000 $1,893,800,000 $249,400,000 $174,300,000 $-177,500,000 $87,500,000
2021 $3,188,100,000 $2,036,400,000 $1,929,100,000 $72,400,000 $166,500,000 $380,900,000 $-22,900,000
2020 $2,646,700,000 $1,935,600,000 $1,783,800,000 $104,200,000 $259,900,000 $123,700,000 $-144,600,000
2019 $2,302,500,000 $1,736,900,000 $1,590,100,000 $111,300,000 $358,800,000 $-108,400,000 $141,000,000
2018 $2,172,200,000 $1,460,400,000 $1,365,400,000 $77,800,000 $118,500,000 $338,600,000 $92,600,000