Recent Annual Filings for AMC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,247,500,000 $4,637,200,000 $4,716,500,000 $-406,400,000 $-50,800,000 $68,400,000 $-230,600,000
2023 $9,009,200,000 $4,812,600,000 $4,886,900,000 $-397,500,000 $-215,200,000 $649,300,000 $257,000,000
2022 $9,135,600,000 $3,911,400,000 $4,433,700,000 $-1,022,800,000 $-628,500,000 $-91,300,000 $-965,900,000
2021 $10,821,500,000 $2,527,900,000 $3,457,900,000 $-1,336,800,000 $-614,100,000 $1,990,700,000 $1,298,900,000
2020 $10,276,400,000 $1,242,400,000 $5,345,100,000 $-4,524,600,000 $-1,129,500,000 $1,330,300,000 $45,900,000
2019 $13,675,800,000 $5,471,000,000 $5,335,000,000 $-180,700,000 $579,000,000 $-112,900,000 $-48,500,000
2017 $9,805,900,000 $5,079,200,000 $4,977,400,000 $-359,100,000 $558,700,000 $492,300,000 $102,900,000
2016 $8,641,841,000 $3,235,846,000 $3,022,988,000 $106,312,000 $431,655,000 $918,263,000 $-4,177,000