Recent Annual Filings for AMLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $193,634,000 $87,371,000 $402,102,000 $-302,032,000 $-167,647,000 $348,000 $-92,083,000
2023 $517,454,000 $380,786,000 $341,984,000 $49,554,000 $11,919,000 $3,543,000 $107,675,000
2022 $391,453,000 $22,230,000 $223,571,000 $-198,470,000 $-179,871,000 $431,789,000 $12,865,000