Recent Annual Filings for ABG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $10,337,000,000 $17,188,600,000 $16,613,300,000 $426,100,000 $671,200,000 $-510,300,000 $23,700,000
2023 $10,159,400,000 $14,802,700,000 $14,001,400,000 $589,100,000 $313,000,000 $1,175,800,000 $-189,600,000
2022 $8,021,400,000 $15,433,800,000 $14,114,700,000 $1,072,200,000 $696,000,000 $-1,104,300,000 $56,400,000
2021 $8,002,600,000 $9,837,700,000 $9,140,000,000 $537,300,000 $1,163,700,000 $2,930,800,000 $177,500,000
2020 $3,676,300,000 $7,131,800,000 $6,793,700,000 $251,700,000 $652,500,000 $166,200,000 $-2,100,000
2019 $2,911,300,000 $7,210,300,000 $6,966,400,000 $181,100,000 $349,800,000 $-127,000,000 $-4,800,000
2018 $2,695,400,000 $6,874,400,000 $6,649,600,000 $169,500,000 $10,100,000 $143,100,000 $3,600,000
2017 $2,356,700,000 $6,456,500,000 $6,247,400,000 $140,300,000 $266,300,000 $-137,200,000 $1,300,000