Recent Annual Filings for AMGN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $97,154,000,000 $28,190,000,000 $20,293,000,000 $6,659,000,000 $8,471,000,000 $21,048,000,000 $3,315,000,000
2022 $65,121,000,000 $26,323,000,000 $16,757,000,000 $7,117,000,000 $9,721,000,000 $-4,037,000,000 $-360,000,000
2021 $61,165,000,000 $25,979,000,000 $18,340,000,000 $6,082,000,000 $9,261,000,000 $-8,271,000,000 $1,723,000,000
2020 $62,948,000,000 $25,424,000,000 $16,285,000,000 $6,807,000,000 $10,497,000,000 $-4,867,000,000 $229,000,000
2019 $59,707,000,000 $23,362,000,000 $13,688,000,000 $8,083,000,000 $9,150,000,000 $-15,767,000,000 $-908,000,000
2018 $66,416,000,000 $23,747,000,000 $13,484,000,000 $8,313,000,000 $11,296,000,000 $-22,490,000,000 $3,145,000,000
2017 $79,954,000,000 $22,849,000,000 $12,876,000,000 $1,771,000,000 $11,177,000,000 $-6,594,000,000 $559,000,000
2016 $77,626,000,000 $22,991,000,000 $13,197,000,000 $7,731,000,000 $10,354,000,000 $-2,599,000,000 $-903,000,000