Recent Annual Filings for AMSF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,157,791,000 $309,043,000 $239,987,000 $53,755,000 $24,190,000 $-91,198,000 $5,363,000
2023 $1,229,162,000 $306,853,000 $229,476,000 $68,742,000 $29,842,000 $-96,513,000 $-22,787,000
2022 $1,269,279,000 $294,737,000 $227,091,000 $28,237,000 $28,194,000 $-112,873,000 $-9,253,000
2021 $1,402,724,000 $315,934,000 $236,485,000 $58,274,000 $37,979,000 $-99,973,000 $8,965,000
2020 $1,470,855,000 $339,477,000 $232,558,000 $95,410,000 $63,398,000 $-88,825,000 $17,944,000
2019 $1,492,906,000 $370,370,000 $254,853,000 $105,733,000 $78,824,000 $-87,043,000 $3,469,000
2018 $1,515,931,000 $377,753,000 $290,172,000 $67,389,000 $98,268,000 $-84,424,000 $-15,215,000
2017 $1,518,236,000 $375,208,000 $292,968,000 $50,335,000 $130,810,000 $-82,645,000 $-3,377,000