Recent Annual Filings for APAM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,618,756,000 $1,111,802,000 $671,250,000 $349,398,000 $372,838,000 $-254,221,000 $93,747,000
2023 $1,405,858,000 $975,131,000 $591,439,000 $312,761,000 $253,028,000 $-174,963,000 $39,898,000
2022 $1,234,608,000 $993,285,000 $681,450,000 $246,332,000 $312,610,000 $-306,402,000 $-57,523,000
2021 $1,208,047,000 $1,227,236,000 $675,686,000 $444,205,000 $398,551,000 $-335,433,000 $36,144,000
2020 $1,151,962,000 $899,567,000 $530,269,000 $309,235,000 $318,677,000 $-282,234,000 $55,195,000
2019 $933,619,000 $798,952,000 $529,686,000 $242,189,000 $292,793,000 $-306,567,000 $-31,280,000
2018 $805,014,000 $828,635,000 $526,847,000 $253,188,000 $333,322,000 $-263,483,000 $55,498,000
2017 $837,155,000 $795,624,000 $224,379,000 $152,397,000 $204,073,000 $-218,861,000 $-19,491,000