Recent Annual Filings for AMPY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $747,076,000 $294,681,000 $264,261,000 $12,946,000 $51,293,000 $9,995,000 $-20,746,000
2023 $737,674,000 $307,596,000 $231,380,000 $392,750,000 $141,590,000 $-82,242,000 $20,746,000
2022 $459,478,000 $458,456,000 $386,467,000 $57,875,000 $64,485,000 $-41,759,000 $-18,799,000
2021 $455,100,000 $342,916,000 $368,525,000 $-32,070,000 $62,969,000 $-25,106,000 $8,435,000
2020 $384,759,000 $202,144,000 $644,033,000 $-464,030,000 $74,330,000 $-28,401,000 $10,039,000
2019 $877,539,000 $275,575,000 $287,546,000 $-35,197,000 $47,283,000 $-132,302,000 $-49,704,000