Recent Annual Filings for AMWL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $435,968,000 $254,364,000 $461,141,000 $-212,828,000 $-127,338,000 $1,381,000 $-144,609,000
2023 $589,705,000 $259,047,000 $931,768,000 $-677,852,000 $-148,343,000 $2,147,000 $-165,364,000
2022 $1,217,557,000 $277,190,000 $546,920,000 $-284,331,000 $-192,323,000 $-3,612,000 $-207,565,000
2021 $1,445,836,000 $252,789,000 $431,815,000 $-183,880,000 $-141,537,000 $5,754,000 $-195,416,000
2020 $1,376,646,000 $245,265,000 $471,064,000 $-232,773,000 $-112,464,000 $983,116,000 $803,895,000