Recent Annual Filings for ABCB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,262,050,000 $1,378,284,000 $902,424,000 $364,505,000 $154,193,000 $745,562,000 $53,073,000
2023 $25,203,699,000 $1,280,435,000 $923,500,000 $279,673,000 $568,959,000 $-181,593,000 $49,172,000
2022 $25,053,286,000 $893,886,000 $440,788,000 $284,443,000 $1,062,473,000 $865,532,000 $-2,946,525,000
2021 $23,858,321,000 $703,112,000 $207,000,000 $358,998,000 $9,140,000 $2,359,195,000 $1,947,351,000
2020 $20,438,638,000 $726,503,000 $386,259,000 $277,498,000 $798,396,000 $1,897,787,000 $1,495,457,000
2019 $18,242,579,000 $636,394,000 $424,810,000 $184,262,000 $-940,211,000 $1,369,620,000 $-57,678,000
2018 $11,443,515,000 $413,326,000 $261,836,000 $117,873,000 $-108,803,000 $510,986,000 $348,869,000
2017 $7,856,203,000 $294,347,000 $170,065,000 $73,326,000 $-62,562,000 $861,742,000 $132,273,000