Recent Annual Filings for ASPS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $143,606,000 $160,134,000 $193,001,000 $-35,448,000 $-5,025,000 $55,000 $-2,716,000
2023 $154,858,000 $145,066,000 $197,414,000 $-56,062,000 $-21,833,000 $2,976,000
2022 $195,005,000 $153,120,000 $200,687,000 $-52,833,000 $-44,888,000 $-2,221,000 $-47,876,000
2021 $257,808,000 $178,453,000 $163,168,000 $12,053,000 $-60,405,000 $-2,304,000 $40,053,000
2020 $265,685,000 $365,547,000 $423,253,000 $-66,315,000 $-22,401,000 $-49,310,000 $-24,487,000
2019 $385,119,000 $648,651,000 $636,212,000 $-305,857,000 $46,688,000 $-69,038,000 $22,537,000
2018 $741,700,000 $838,202,000 $836,803,000 $-3,432,000 $68,402,000 $-124,283,000 $-44,797,000
2017 $865,164,000 $942,213,000 $906,838,000 $314,109,000 $66,082,000 $-100,334,000 $-44,288,000