Recent Annual Filings for AMH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,381,151,000 $476,122,000 $811,535,000 $142,696,000 $128,355,000
2023 $12,688,190,000 $431,578,000 $738,689,000 $-42,210,000 $3,901,000
2022 $12,175,059,000 $309,461,000 $665,518,000 $786,177,000 $26,193,000
2021 $10,962,433,000 $205,789,000 $595,200,000 $1,064,955,000 $-73,310,000
2020 $9,593,625,000 $1,182,836,000 $1,028,007,000 $153,866,000 $474,100,000 $269,783,000 $100,958,000
2019 $9,100,109,000 $1,143,378,000 $987,118,000 $155,297,000 $457,887,000 $-92,116,000 $-11,095,000
2018 $9,001,481,000 $1,072,855,000 $960,417,000 $121,149,000 $410,882,000 $255,917,000 $-7,609,000
2017 $8,608,768,000 $960,399,000 $883,907,000 $76,472,000 $385,961,000 $384,100,000 $-67,418,000