Recent Annual Filings for AMR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,438,708,000 $2,957,285,000 $2,729,431,000 $178,084,000 $579,919,000 $-128,897,000 $220,036,000
2023 $2,406,057,000 $3,471,417,000 $2,608,332,000 $693,531,000 $851,159,000 $-656,428,000 $28,731,000
2022 $2,312,479,000 $4,101,592,000 $2,520,713,000 $1,494,886,000 $1,484,005,000 $-981,868,000 $172,780,000
2021 $1,857,712,000 $2,258,586,000 $1,901,446,000 $342,272,000 $174,943,000 $-147,045,000 $-61,957,000
2018 $1,357,830,000
2011 $23,848,000,000 $23,979,000,000 $25,033,000,000 $-3,188,000,000 $680,000,000 $727,000,000 $115,000,000
2010 $25,088,000,000 $22,170,000,000 $21,862,000,000 $-502,000,000 $1,241,000,000 $804,000,000 $15,000,000