Recent Annual Filings for AMCX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $4,969,787,000 $2,711,877,000 $2,323,465,000 $209,573,000 $203,919,000 $-544,435,000 $-359,426,000
2022 $5,633,836,000 $3,096,545,000 $3,009,629,000 $-55,600,000 $181,834,000 $-97,115,000 $37,781,000
2021 $5,748,946,000 $3,077,608,000 $2,587,686,000 $237,882,000 $143,474,000 $-84,103,000 $3,695,000
2020 $5,246,338,000 $2,814,956,000 $2,372,312,000 $290,227,000 $748,736,000 $-647,998,000 $72,356,000
2019 $5,596,686,000 $3,060,321,000 $2,435,044,000 $400,199,000 $483,748,000 $-131,126,000 $261,284,000
2018 $5,278,563,000 $2,971,929,000 $2,245,020,000 $421,570,000 $606,547,000 $-314,607,000 $-3,897,000
2017 $5,032,985,000 $2,805,691,000 $2,083,332,000 $569,049,000 $385,729,000 $-204,210,000 $77,394,000
2016 $4,480,595,000 $2,755,654,000 $2,098,098,000 $232,222,000 $514,325,000 $-153,864,000 $165,068,000