Recent Annual Filings for ACM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,061,669,000 $16,105,498,000 $15,387,346,000 $504,368,000 $827,490,000 $-295,460,000 $322,710,000
2023 $11,233,398,000 $14,378,461,000 $14,165,061,000 $153,307,000 $695,980,000 $-472,935,000 $85,380,000
2022 $11,139,315,000 $13,148,182,000 $12,597,500,000 $254,554,000 $713,636,000 $-588,315,000 $-58,020,000
2021 $11,733,954,000 $13,340,852,000 $12,932,048,000 $221,511,000 $704,670,000 $-872,533,000 $-583,457,000
2020 $12,998,951,000 $13,239,976,000 $13,007,373,000 $-207,904,000 $329,622,000 $-1,627,970,000 $737,895,000
2019 $14,461,591,000 $20,173,329,000 $20,357,449,000 $-344,957,000 $777,616,000 $-433,279,000 $193,621,000
2018 $14,681,131,000 $20,155,512,000 $19,978,028,000 $195,626,000 $774,553,000 $-624,868,000 $84,371,000
2017 $14,396,956,000 $18,203,402,000 $17,774,220,000 $578,531,000 $696,654,000 $-386,490,000 $110,217,000