Recent Annual Filings for AMKR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,771,125,000 $6,503,065,000 $6,059,224,000 $361,782,000 $1,270,020,000 $-149,207,000 $158,211,000
2022 $6,821,757,000 $7,091,585,000 $6,234,653,000 $763,763,000 $1,098,756,000 $55,597,000 $130,885,000
2021 $6,038,554,000 $6,138,329,000 $5,423,263,000 $638,315,000 $1,121,295,000 $-30,102,000 $129,324,000
2020 $5,022,311,000 $5,050,589,000 $4,663,907,000 $348,654,000 $770,033,000 $-333,719,000 $-196,335,000
2019 $4,695,615,000 $4,052,650,000 $3,892,840,000 $117,931,000 $563,850,000 $108,250,000 $210,481,000
2018 $4,495,447,000 $4,316,466,000 $4,130,651,000 $130,858,000 $663,410,000 $-40,623,000 $85,200,000
2017 $4,521,509,000 $4,186,497,000 $3,882,627,000 $281,145,000 $618,267,000 $-124,886,000 $47,356,000
2016 $4,092,086,000 $3,893,635,000 $3,678,478,000 $175,650,000 $729,402,000 $-112,179,000 $28,147,000