Recent Annual Filings for ALLE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,311,500,000 $3,650,800,000 $3,033,600,000 $564,900,000 $600,600,000 $-298,700,000 $180,100,000
2022 $3,991,200,000 $3,271,900,000 $2,757,400,000 $366,200,000 $459,500,000 $437,000,000 $-109,900,000
2021 $3,051,000,000 $2,867,400,000 $2,343,400,000 $446,100,000 $488,600,000 $-529,300,000 $-82,500,000
2020 $3,069,400,000 $2,719,900,000 $2,354,500,000 $376,300,000 $490,300,000 $-321,900,000 $121,700,000
2019 $2,967,200,000 $2,854,000,000 $2,378,800,000 $406,900,000 $488,200,000 $-342,200,000 $68,100,000
2018 $2,810,200,000 $2,731,700,000 $2,256,500,000 $374,900,000 $457,800,000 $-183,400,000 $-175,600,000
2017 $2,542,000,000 $2,408,200,000 $2,012,500,000 $393,900,000 $347,200,000 $-150,900,000 $153,800,000
2016 $2,247,400,000 $2,238,000,000 $1,943,000,000 $198,700,000 $377,500,000 $-196,000,000 $112,700,000