Recent Annual Filings for ABM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,097,200,000 $8,359,400,000 $8,225,800,000 $71,600,000 $226,700,000 $-61,500,000 $-6,700,000
2023 $4,933,700,000 $8,096,400,000 $7,765,300,000 $258,100,000 $243,300,000 $-186,300,000 $-5,100,000
2022 $4,868,900,000 $7,806,600,000 $7,496,600,000 $236,900,000 $20,400,000 $235,500,000 $14,400,000
2021 $4,436,200,000 $6,228,600,000 $6,048,800,000 $134,500,000 $314,300,000 $92,400,000 $-333,300,000
2020 $3,776,900,000 $5,987,600,000 $5,934,300,000 $-6,600,000 $457,500,000 $-94,100,000 $335,900,000
2019 $3,692,600,000 $6,498,600,000 $6,338,400,000 $112,500,000 $262,700,000 $-184,800,000 $19,600,000
2018 $3,627,500,000 $6,442,200,000 $6,354,500,000 $109,000,000 $320,900,000 $-295,800,000 $-23,700,000
2017 $3,812,600,000 $5,453,600,000 $5,366,700,000 $15,200,000 $5,600,000 $874,000,000 $9,300,000