Recent Annual Filings for ACTG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $756,394,000 $122,312,000 $155,238,000 $-35,878,000 $50,122,000 $97,556,000 $-66,211,000
2023 $633,545,000 $125,102,000 $104,166,000 $68,930,000 $-22,506,000 $58,632,000 $52,305,000
2022 $482,928,000 $59,223,000 $99,315,000 $-110,939,000 $-37,336,000 $-166,137,000 $-21,575,000
2021 $798,856,000 $12,004,000 $73,502,000 $150,365,000 $13,326,000 $59,738,000 $108,815,000
2020 $515,520,000 $29,782,000 $-82,503,000 $113,444,000 $-19,620,000 $109,209,000 $108,187,000
2019 $218,161,000 $11,246,000 $30,199,000 $-17,129,000 $-2,308,000 $33,921,000 $-36,450,000
2018 $223,949,000 $131,506,000 $235,175,000 $-104,760,000 $20,877,000 $-4,606,000 $-7,795,000
2017 $308,768,000 $65,402,000 $40,763,000 $21,672,000 $24,478,000 $700,000 $9,064,000