Recent Annual Filings for AAME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $393,428,000 $188,227,000 $193,491,000 $-6,859,000 $4,800,000 $186,000 $7,269,000
2023 $381,265,000 $186,793,000 $187,358,000 $5,857,000 $2,622,000 $181,000 $-562,000
2022 $367,064,000 $187,851,000 $185,755,000 $-38,312,000 $6,453,000 $1,085,000 $4,110,000
2021 $402,286,000 $199,554,000 $194,252,000 $-3,031,000 $1,088,000 $-954,000 $5,434,000
2020 $405,187,000 $195,348,000 $179,845,000 $26,710,000 $8,971,000 $-481,000 $6,426,000
2019 $377,626,000 $198,179,000 $198,586,000 $17,608,000 $-1,807,000 $-939,000 $263,000
2018 $344,274,000 $185,553,000 $186,524,000 $-10,265,000 $4,460,000 $-1,590,000 $-11,917,000
2017 $343,239,000 $181,114,000 $175,758,000 $8,449,000 $2,634,000 $-1,467,000 $11,295,000