Recent Annual Filings for AMRK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,827,820,000 $9,699,039,000 $9,616,261,000 $69,033,000 $60,934,000 $11,981,000 $9,318,000
2023 $1,545,571,000 $9,286,561,000 $9,083,391,000 $156,769,000 $-30,323,000 $25,019,000 $1,535,000
2022 $1,442,659,000 $8,159,254,000 $7,992,837,000 $133,079,000 $-89,166,000 $86,107,000 $-63,622,000
2021 $1,191,581,000 $7,613,015,000 $7,420,214,000 $160,924,000 $-52,654,000 $232,127,000 $49,080,000
2020 $758,035,000 $5,461,094,000 $5,423,216,000 $31,491,000 $47,935,000 $-52,704,000 $44,005,000
2019 $705,362,000 $4,783,157,000 $4,779,880,000 $-14,533,000 $31,367,000 $2,029,000
2018 $743,001,000 $7,606,248,000 $7,609,659,000 $7,646,000 $3,418,000 $-6,768,000
2017 $478,500,000 $6,989,624,000 $6,978,839,000 $-9,781,000 $42,185,000 $-4,083,000