Recent Annual Filings for AMTB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,901,734,000 $595,589,000 $619,673,000 $15,238,000 $82,194,000 $762,957,000 $268,487,000
2023 $9,716,327,000 $548,579,000 $507,251,000 $42,329,000 $26,721,000 $611,168,000 $31,271,000
2022 $9,127,804,000 $338,776,000 $260,192,000 $-32,542,000 $-49,160,000 $1,462,799,000 $16,393,000
2021 $7,638,399,000 $247,844,000 $103,824,000 $96,474,000 $67,431,000 $-392,928,000 $59,822,000
2020 $7,770,893,000 $260,554,000 $264,888,000 $16,708,000 $57,247,000 $-250,524,000 $93,062,000
2019 $7,985,399,000 $312,974,000 $248,943,000 $82,732,000 $78,392,000 $-248,621,000 $35,614,000
2018 $8,124,347,000 $309,358,000 $251,792,000 $33,802,000 $62,161,000 $-336,405,000 $-67,735,000