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Amc Networks (AMCX) Financials and Smart Investor 13F Alerts

See how revenue, income, cash flow, and balance sheet financials have changed over 36 quarters since 2012. Compare with AMCX stock chart to see long term trends.

AMCX stock compared to

AMCX Income Statement

Revenue, Net:780275000
Revenue Per Share:15.29
Cost of Goods & Services Sold:441212000
Selling, General & Admin Expense:220239000
Total Operating Expenses:698880000
Operating Income:81395000
Income Taxes:49901000
Net Income:98232000
Earnings Per Share, Basic:1.99
Shares Outstanding, Basic Avg:51016000

AMCX Cash Flow

Operating Activities Net Income:
Depreciation, Depletion & Amortization:24424000
Change in Accounts Receiveable:28991000
Net Cash from Operations:104649000
Repurchases/Buybacks Common Stock:253763000
Issuance of Long-term Debt:0
Net Cash from Financing Activities:-283254000
Property, Plant & Equipment Purchases:11605000
Purchases of Businesses, Net of Cash:null
Net Cash from Investing Activities:-10736000
Net Change in Cash & Equivalents:-189341000

AMCX Balance Sheet

Cash and Cash Equivalents:888526000
Accounts Receivable, Net:813587000
Total Current Assets:1938766000
Property, Plant & Equipment, Net:256045000
Total Assets:5246338000
Accounts Payable:120530000
Current Portion of Long-Term Debt:75000000
Total Short-Term Liabilities:878467000
Long Term Debt, Non-Current Portion:2774307000
Total Liabilities:4287588000

Major Holders (from 13F filings)

Investment Type
Change
Value (x$1000)
increase or decrease
Blackrock Inc.
4,615,657 sh
-685,524 sh
-13%
$114,053
-$9,940
Vanguard Group Inc
3,482,459 sh
-255,874 sh
-7%
$86,052
-$1,388
Price T Rowe Associates Inc /Md/
1,633,161 sh
-5,673 sh
0%
$40,355
$2,023
Aristeia Capital LLC
1,602,790 sh
1,602,790 sh
NEW
$39,605
$39,605
Aristeia Capital LLC
1,602,790 sh
1,602,790 sh
NEW
$39,605
$39,605
Cooperman Leon G
776,200 sh
141,866 sh
22%
$19,180
$4,343
Northern Trust Corp
624,405 sh
-31,909 sh
-5%
$15,429
$77
Charles Schwab Investment Management Inc
557,496 sh
31,658 sh
6%
$13,776
$1,476
FMR LLC
489,258 sh
-84,947 sh
-15%
$12,089
-$1,341
Invesco Ltd.
440,311 sh
130,142 sh
42%
$10,879
$3,625
Bank Of America Corp /De/
419,845 sh
-8,681 sh
-2%
$10,374
$350
CSS LLC/Il
305,056 sh
305,056 sh
NEW
$7,538
$7,538
Goldman Sachs Group Inc
303,998 sh
-251,633 sh
-45%
$7,512
-$5,484
CSS LLC/Il
Put options for 259,700 sh
259,700 sh
NEW
$6,418
$6,418
Bank Of America Corp /De/
Call options for 250,000 sh
250,000 sh
NEW
$6,178
$6,178
Horizon Kinetics Asset Management LLC
192,368 sh
-28,308 sh
-13%
$4,753
-$409
Morgan Stanley
189,332 sh
108,547 sh
134%
$4,678
$2,789
Matarin Capital Management, LLC
106,967 sh
-13,874 sh
-11%
$2,643
-$183
Ameriprise Financial Inc
102,637 sh
-38,128 sh
-27%
$2,535
-$757
Voya Investment Management LLC
98,347 sh
-4,036 sh
-4%
$2,430
$35

Data imported from Amc Networks Inc SEC filings. Check original filings before making any investment decision.