Recent Annual Filings for AGM.A

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $31,324,742,000 $1,603,516,000 $1,345,413,000 $235,191,000 $612,646,000 $1,205,127,000 $135,300,000
2023 $29,524,382,000 $1,392,288,000 $1,139,187,000 $210,701,000 $375,798,000 $1,607,288,000 $27,705,000
2022 $27,333,110,000 $716,848,000 $491,169,000 $123,448,000 $809,271,000 $2,185,905,000 $-47,783,000
2021 $25,145,491,000 $424,789,000 $257,176,000 $150,036,000 $436,412,000 $534,628,000 $-125,156,000
2020 $24,355,501,000 $503,534,000 $366,101,000 $110,886,000 $-94,547,000 $2,260,198,000 $429,560,000
2019 $21,709,374,000 $645,093,000 $506,442,000 $68,429,000 $-19,699,000 $2,583,411,000 $179,125,000
2018 $18,694,328,000 $544,284,000 $408,262,000 $81,924,000 $200,031,000 $522,413,000 $123,234,000
2017 $17,792,274,000 $400,532,000 $269,846,000 $92,591,000 $175,011,000 $1,710,057,000 $36,793,000