Recent Annual Filings for AME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,631,169,000 $6,941,180,000 $5,161,618,000 $1,305,327,000 $1,828,848,000 $-1,602,454,000 $-35,805,000
2023 $15,023,533,000 $6,596,950,000 $4,889,491,000 $1,403,191,000 $1,735,296,000 $697,283,000 $64,418,000
2022 $12,431,120,000 $6,150,530,000 $4,649,838,000 $1,055,041,000 $1,149,373,000 $-575,699,000 $-1,386,000
2021 $11,898,187,000 $5,546,514,000 $4,237,844,000 $1,024,077,000 $1,160,457,000 $39,337,000 $-866,050,000
2020 $10,357,483,000 $4,540,029,000 $3,512,145,000 $901,110,000 $1,280,980,000 $-539,436,000 $819,792,000
2019 $9,844,559,000 $5,158,557,000 $3,981,177,000 $879,246,000 $1,114,422,000 $72,913,000 $39,055,000
2018 $8,662,288,000 $4,845,872,000 $3,770,332,000 $656,021,000 $925,518,000 $13,040,000 $-292,325,000
2017 $7,796,064,000 $4,300,170,000 $3,385,076,000 $794,683,000 $833,259,000 $-329,171,000 $-70,959,000