Recent Annual Filings for AMRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,501,445,000 $2,793,957,000 $2,848,970,000 $-150,047,000 $295,099,000 $-211,791,000 $19,313,000
2023 $3,472,569,000 $2,393,607,000 $2,433,877,000 $-127,040,000 $345,577,000 $-212,573,000 $63,880,000
2022 $3,799,341,000 $2,212,304,000 $2,460,431,000 $-95,110,000 $65,100,000 $-106,620,000 $-221,512,000
2021 $3,939,664,000 $2,093,669,000 $2,062,303,000 $27,341,000 $241,820,000 $-138,122,000 $-90,382,000
2020 $4,006,033,000 $1,992,523,000 $2,028,303,000 $49,856,000 $379,001,000 $131,807,000 $194,299,000
2019 $3,665,890,000 $1,626,373,000 $1,846,615,000 $-353,422,000 $1,705,000 $-45,833,000 $-65,957,000
2018 $4,352,736,000 $1,662,991,000 $1,865,713,000 $-23,337,000 $250,230,000 $287,675,000 $140,857,000