Recent Annual Filings for AJG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $64,255,200,000 $11,554,900,000 $9,680,100,000 $1,111,400,000 $2,582,900,000 $13,052,700,000 $14,048,200,000
2023 $51,615,800,000 $10,071,900,000 $8,886,800,000 $1,314,300,000 $2,031,700,000 $2,873,900,000 $1,612,600,000
2022 $38,907,800,000 $8,550,600,000 $7,223,600,000 $701,700,000 $2,125,400,000 $-522,800,000 $597,800,000
2021 $33,345,000,000 $8,209,400,000 $7,234,300,000 $872,500,000 $1,704,100,000 $2,684,100,000 $956,500,000
2020 $22,331,400,000 $7,003,600,000 $6,132,700,000 $974,100,000 $1,752,500,000 $-505,100,000 $830,600,000
2019 $19,634,800,000 $7,195,000,000 $6,568,900,000 $741,800,000 $1,119,200,000 $638,400,000 $387,100,000
2018 $16,334,000,000 $6,934,000,000 $6,454,600,000 $452,300,000 $765,100,000 $162,000,000 $-68,200,000
2017 $12,897,400,000 $6,159,600,000 $5,781,500,000 $702,900,000 $854,200,000 $-47,800,000 $367,400,000