Recent Annual Filings for AMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $61,077,400,000 $10,127,200,000 $5,610,700,000 $1,831,000,000 $5,290,500,000 $-5,452,400,000 $14,800,000
2023 $66,027,600,000 $11,144,200,000 $8,119,300,000 $1,427,300,000 $4,722,400,000 $-3,097,400,000 $-47,300,000
2022 $67,194,500,000 $10,711,100,000 $8,358,800,000 $531,700,000 $3,696,200,000 $-1,423,200,000 $-202,600,000
2021 $69,887,900,000 $9,356,900,000 $6,224,900,000 $1,417,500,000 $4,819,900,000 $16,424,500,000 $481,900,000
2020 $47,233,500,000 $8,041,500,000 $5,154,000,000 $990,100,000 $3,881,400,000 $1,215,300,000 $283,400,000
2019 $42,801,600,000 $7,580,300,000 $4,891,900,000 $1,758,800,000 $3,752,600,000 $521,700,000 $273,100,000
2018 $33,010,400,000 $7,440,100,000 $5,535,100,000 $474,900,000 $3,748,300,000 $-607,700,000 $350,000,000
2017 $33,214,300,000 $6,663,900,000 $4,665,500,000 $1,369,300,000 $2,925,600,000 $-113,000,000 $18,400,000