Recent Annual Filings for AMAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,256,892,000 $401,296,000 $255,707,000 $133,801,000 $124,065,000 $162,061,000 $-29,821,000
2023 $7,972,324,000 $358,077,000 $233,347,000 $110,681,000 $117,224,000 $44,213,000 $27,030,000
2022 $7,843,124,000 $258,489,000 $150,325,000 $-32,639,000 $147,322,000 $788,224,000 $-266,945,000
2021 $7,077,876,000 $180,526,000 $109,801,000 $41,170,000 $70,538,000 $1,086,588,000 $291,716,000