Recent Annual Filings for AMG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,830,900,000 $2,040,900,000 $1,117,700,000 $742,700,000 $932,100,000 $-1,175,900,000 $131,100,000
2023 $9,059,600,000 $2,057,800,000 $966,400,000 $948,000,000 $874,300,000 $-758,300,000 $387,400,000
2022 $8,881,000,000 $2,329,600,000 $583,200,000 $1,245,300,000 $1,054,700,000 $-1,402,900,000 $-480,700,000
2021 $8,876,400,000 $2,412,400,000 $1,271,300,000 $897,300,000 $1,259,200,000 $-798,300,000 $-123,600,000
2020 $7,888,900,000 $2,027,500,000 $1,519,100,000 $440,700,000 $1,009,300,000 $-455,400,000 $502,300,000
2019 $7,653,500,000 $2,239,600,000 $1,931,600,000 $317,700,000 $929,100,000 $-934,700,000 $-21,300,000
2018 $8,219,100,000 $2,378,400,000 $1,664,800,000 $430,100,000 $1,140,600,000 $-983,100,000 $129,200,000
2017 $8,702,100,000 $2,305,000,000 $1,237,900,000 $1,128,200,000 $1,170,400,000 $-1,189,700,000 $8,700,000