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COM:AMG

Affiliated Managers Group

  • Stock

USD

Last Close

186.59

22/11 21:00

Market Cap

5.08B

Beta: -

Volume Today

161.41K

Avg: -

Preview

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Dec '13
Dec '14
Dec '15
Dec '16
Dec '17
Dec '18
Dec '19
Dec '20
Dec '21
Dec '22
Dec '23
net income
669.60M
-
785.60M
17.32%
833.70M
6.12%
739M
11.36%
1.01B
36.50%
532.30M
47.23%
305.10M
42.68%
427M
39.95%
890.10M
108.45%
1.39B
55.95%
906.10M
34.72%
depreciation and amortization
142.20M
-
139.10M
2.18%
134.20M
3.52%
129.70M
3.35%
106.70M
17.73%
136.80M
28.21%
165.80M
21.20%
159.60M
3.74%
52.30M
67.23%
67.40M
28.87%
61.30M
9.05%
deferred income tax
27.70M
-
62.80M
126.71%
94.70M
50.80%
59.30M
37.38%
-123.60M
308.43%
51.90M
141.99%
-55.80M
207.51%
26.80M
148.03%
91.20M
240.30%
32M
64.91%
31.40M
1.88%
stock based compensation
40.20M
-
113.70M
182.84%
102.70M
9.67%
80.40M
21.71%
90.40M
12.44%
101.10M
11.84%
90.40M
10.58%
119.20M
31.86%
126.70M
6.29%
113.80M
10.18%
112.10M
1.49%
change in working capital
63M
-
164.30M
160.79%
20.30M
87.64%
21.10M
3.94%
-8.90M
142.18%
-4.10M
53.93%
-123.30M
2,907.32%
10M
108.11%
120M
1,100%
138.50M
15.42%
-228.60M
265.05%
accounts receivables
-53.90M
-
26.50M
149.17%
56.10M
111.70%
58.20M
3.74%
-53.50M
191.92%
14.40M
126.92%
-15.80M
209.72%
1.10M
106.96%
31.70M
2,781.82%
87M
174.45%
368.40M
323.45%
inventory
-19.50M
-
accounts payables
141.10M
-
other working capital
-4.70M
-
137.80M
3,031.91%
-35.80M
125.98%
-37.10M
3.63%
44.60M
220.22%
-18.50M
141.48%
-107.50M
481.08%
8.90M
108.28%
88.30M
892.13%
51.50M
41.68%
-368.40M
815.34%
other non cash items
14.40M
-
126.70M
779.86%
19.20M
84.85%
-1.90M
109.90%
97.10M
5,210.53%
322.60M
232.23%
546.90M
69.53%
266.70M
51.23%
-21.10M
107.91%
-685.10M
3,146.92%
-8M
98.83%
net cash provided by operating activities
957.10M
-
1.39B
45.46%
1.20B
13.46%
1.03B
14.71%
1.17B
13.90%
1.14B
2.55%
929.10M
18.54%
1.01B
8.63%
1.26B
24.76%
1.05B
16.24%
874.30M
17.10%
investments in property plant and equipment
-24M
-
-19.20M
20%
-38.20M
98.96%
-20.20M
47.12%
-18.50M
8.42%
-18.70M
1.08%
-9.60M
48.66%
-8.50M
11.46%
-8.40M
1.18%
-11.40M
35.71%
-12.40M
8.77%
acquisitions net
-26.30M
-
-1.25B
4,633.84%
-297.70M
76.09%
-1.36B
357.27%
-30.60M
97.75%
-7.30M
76.14%
-44.60M
510.96%
-44.50M
0.22%
-558.20M
1,154.38%
-66.70M
88.05%
200K
100.30%
purchases of investments
-11.40M
-
-21.20M
85.96%
-13.50M
36.32%
-16M
18.52%
-37.20M
132.50%
-40.80M
9.68%
-43.10M
5.64%
-47.70M
10.67%
-73.50M
54.09%
-312M
324.49%
-731.10M
134.33%
sales maturities of investments
11.40M
-
17.30M
51.75%
24.90M
43.93%
65.30M
162.25%
100.10M
53.29%
48.60M
51.45%
72.90M
50%
47M
35.53%
56.40M
20%
280.20M
396.81%
1.01B
259.92%
other investing activites
-700K
-
net cash used for investing activites
-50.30M
-
-1.27B
2,421.07%
-324.50M
74.41%
-1.33B
310.54%
13.80M
101.04%
-18.20M
231.88%
-24.40M
34.07%
-53.70M
120.08%
-583.70M
986.96%
-109.90M
81.17%
264.50M
340.67%
debt repayment
-1.20B
-
-1.02B
15.04%
-1.26B
23.06%
-1.13B
10.43%
-805M
28.44%
-1.18B
46.66%
-510M
56.80%
-350M
31.37%
-33M
90.57%
-60.80M
84.24%
-25M
58.88%
common stock issued
48.20M
-
41.40M
14.11%
57.80M
39.61%
465.80M
705.88%
41.90M
91.00%
9.70M
76.85%
470.70M
4,752.58%
874.80M
85.85%
117.70M
86.55%
15.20M
87.09%
13.40M
11.84%
common stock repurchased
-15.70M
-
-190.80M
1,115.29%
-413.70M
116.82%
-33.40M
91.93%
-393.20M
1,077.25%
-505.80M
28.64%
-356.10M
29.60%
-335.10M
5.90%
-745.80M
122.56%
-775.30M
3.96%
-409.30M
47.21%
dividends paid
-760M
-
-1.75B
129.80%
-1.25B
28.24%
-1.35B
7.72%
-44.90M
96.67%
-64.40M
43.43%
-65.30M
1.40%
-16.80M
74.27%
-1.70M
89.88%
-1.60M
5.88%
-1.50M
6.25%
other financing activites
1.06B
-
2.88B
172.11%
2.01B
30.26%
2.24B
11.56%
11.50M
99.49%
758M
6,491.30%
-474M
162.53%
-628.30M
32.55%
-135.50M
78.43%
-580.40M
328.34%
-335.90M
42.13%
net cash used provided by financing activities
-869.10M
-
-32.90M
96.21%
-854.10M
2,496.05%
200.90M
123.52%
-1.19B
692.19%
-983.10M
17.37%
-934.70M
4.92%
-455.40M
51.28%
-798.30M
75.30%
-1.40B
75.74%
-758.30M
45.95%
effect of forex changes on cash
1.50M
-
-10.20M
780%
-13M
27.45%
-27.20M
109.23%
14.20M
152.21%
-10.10M
171.13%
8.70M
186.14%
2.10M
75.86%
-800K
138.10%
-22.60M
2,725%
6.90M
130.53%
net change in cash
39.20M
-
81M
106.63%
13.20M
83.70%
-133M
1,107.58%
8.70M
106.54%
126M
1,348.28%
-25.90M
120.56%
500.10M
2,030.89%
-131.20M
126.23%
-479.30M
265.32%
384.40M
180.20%
cash at beginning of period
430.40M
-
469.60M
9.11%
550.60M
17.25%
563.80M
2.40%
430.80M
23.59%
439.50M
2.02%
565.50M
28.67%
539.60M
4.58%
1.04B
92.68%
908.50M
12.62%
429.20M
52.76%
cash at end of period
469.60M
-
550.60M
17.25%
563.80M
2.40%
430.80M
23.59%
439.50M
2.02%
565.50M
28.67%
539.60M
4.58%
1.04B
92.68%
908.50M
12.62%
429.20M
52.76%
813.60M
89.56%
operating cash flow
957.10M
-
1.39B
45.46%
1.20B
13.46%
1.03B
14.71%
1.17B
13.90%
1.14B
2.55%
929.10M
18.54%
1.01B
8.63%
1.26B
24.76%
1.05B
16.24%
874.30M
17.10%
capital expenditure
-24M
-
-19.20M
20%
-38.20M
98.96%
-20.20M
47.12%
-18.50M
8.42%
-18.70M
1.08%
-9.60M
48.66%
-8.50M
11.46%
-8.40M
1.18%
-11.40M
35.71%
-12.40M
8.77%
free cash flow
933.10M
-
1.37B
47.14%
1.17B
15.03%
1.01B
13.65%
1.15B
14.34%
1.12B
2.60%
919.50M
18.04%
1.00B
8.84%
1.25B
24.98%
1.04B
16.59%
861.90M
17.39%

All numbers in USD (except ratios and percentages)