Recent Annual Filings for AX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $22,855,334,000 $64,641,000 $-570,840,000 $454,152,000 $305,477,000 $2,087,493,000 $-196,310,000
2023 $20,348,469,000 $65,261,000 $-366,483,000 $303,488,000 $187,959,000 $3,009,779,000 $807,387,000
2022 $17,401,165,000 $59,434,000 $-280,525,000 $235,276,000 $210,282,000 $3,103,324,000 $536,922,000
2021 $14,265,565,000 $617,863,000 $312,120,000 $219,151,000 $412,582,000 $-458,555,000 $-912,742,000
2020 $13,851,900,000 $33,762,000 $-228,870,000 $182,485,000 $284,118,000 $2,157,472,000 $1,093,151,000
2019 $11,220,238,000 $27,626,000 $-185,180,000 $155,760,000 $204,421,000 $961,838,000 $234,518,000