Recent Annual Filings for AGCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,190,600,000 $11,661,900,000 $12,095,500,000 $-682,700,000 $689,900,000 $1,045,500,000 $85,000,000
2023 $11,421,200,000 $14,412,400,000 $13,078,900,000 $1,266,300,000 $1,103,100,000 $-671,700,000 $-114,300,000
2022 $10,103,700,000 $12,651,400,000 $11,544,200,000 $843,400,000 $838,200,000 $-407,000,000 $-99,600,000
2021 $9,182,100,000 $11,138,300,000 $10,194,000,000 $941,000,000 $660,200,000 $-539,500,000 $-230,000,000
2020 $8,504,200,000 $9,149,700,000 $8,587,700,000 $199,900,000 $896,500,000 $22,700,000 $686,300,000
2019 $7,759,700,000 $9,041,400,000 $8,780,300,000 $85,500,000 $695,900,000 $-313,400,000 $106,700,000
2018 $7,626,400,000 $9,352,000,000 $8,991,700,000 $85,700,000 $595,900,000 $-413,300,000 $-41,600,000
2017 $7,971,700,000 $8,306,500,000 $8,022,700,000 $270,500,000 $577,600,000 $-176,700,000 $-62,000,000