Recent Annual Filings for AMRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,158,508,000 $1,769,928,000 $1,735,988,000 $51,162,000 $117,598,000 $313,944,000 $44,702,000
2023 $3,713,776,000 $1,374,633,000 $1,336,364,000 $64,940,000 $-69,991,000 $640,803,000 $3,788,000
2022 $2,876,821,000 $1,824,422,000 $1,718,703,000 $101,165,000 $-338,288,000 $730,227,000 $62,834,000
2021 $2,224,821,000 $1,215,697,000 $1,137,553,000 $82,814,000 $-172,296,000 $365,461,000 $-11,783,000
2020 $1,750,251,000 $1,032,275,000 $975,847,000 $55,146,000 $-102,583,000 $305,169,000 $21,573,000
2019 $1,374,013,000 $866,933,000 $830,380,000 $38,736,000 $-196,293,000 $317,419,000 $-20,650,000
2018 $1,161,634,000 $787,138,000 $744,748,000 $37,254,000 $-53,201,000 $224,511,000 $37,809,000
2017 $983,951,000 $717,152,000 $688,435,000 $38,456,000 $-136,559,000 $228,088,000 $3,655,000