Recent Annual Filings for AM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,761,748,000 $1,106,193,000 $557,572,000 $400,892,000 $843,994,000 $-601,327,000 $-66,000
2023 $5,737,618,000 $1,041,771,000 $541,698,000 $371,786,000 $779,063,000 $-595,791,000 $66,000
2022 $5,791,320,000 $919,985,000 $476,249,000 $326,242,000 $699,604,000 $-205,778,000
2021 $5,544,001,000 $898,202,000 $449,462,000 $331,617,000 $709,752,000 $-477,150,000 $-640,000
2020 $5,610,912,000 $900,719,000 $1,078,934,000 $-122,527,000 $753,382,000 $-534,746,000 $-595,000
2019 $6,282,878,000 $792,588,000 $1,250,168,000 $-355,114,000 $622,387,000 $-98,299,000 $-1,587,000
2018 $3,546,417,000 $1,028,522,000 $442,578,000 $585,944,000 $657,560,000 $664,000 $-8,363,000
2017 $3,042,209,000 $772,497,000 $465,182,000 $307,315,000 $475,796,000 $298,343,000 $-5,679,000