Recent Annual Filings for AXL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,059,900,000 $6,124,900,000 $6,062,100,000 $-54,300,000 $455,400,000 $-156,200,000 $33,000,000
2023 $5,356,300,000 $6,079,500,000 $6,104,000,000 $-21,100,000 $396,100,000 $-205,500,000 $8,400,000
2022 $5,469,400,000 $5,802,400,000 $5,736,100,000 $153,700,000 $448,900,000 $-217,200,000 $-18,700,000
2021 $5,635,700,000 $5,156,600,000 $5,155,400,000 $73,300,000 $538,400,000 $-401,400,000 $-26,800,000
2020 $5,916,300,000 $4,710,800,000 $5,321,100,000 $-616,800,000 $454,700,000 $-214,500,000 $25,000,000
2019 $6,644,600,000 $6,530,900,000 $7,063,900,000 $-521,600,000 $559,600,000 $-200,000,000 $53,100,000
2018 $7,510,700,000 $7,270,400,000 $7,384,300,000 $-75,700,000 $771,500,000 $-184,500,000 $102,100,000
2017 $7,882,800,000 $6,266,000,000 $5,926,000,000 $434,400,000 $647,000,000 $615,600,000 $-104,400,000