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AMCX

AMC Networks Inc

AMC Networks distributes content through programming networks like AMC and We TV, and offers streaming services including AMC+ and Shudder. It produces original shows, licenses programming, and is involved in film distribution and technical services.

πŸ“‘ Communication Services NASDAQ Listed 2011 $ USD
$1,000 invested 10 years ago β†’$214today

Score Overview

1 Year
Score
Net Growth-122.09%
Net TrendShrank
Net Income Consistencyβ€”
Rev Growth-2.84%
Rev TrendShrank
Revenue Consistencyβ€”
5 Years
Score2.9
Net Growth-107.88%
Net Trend40%
Net Income Consistencyβ€”
Rev Growth-27.02%
Rev Trend20%
Revenue Consistencyβ€”
10 Years
Score
Net Growth-107.30%
Net Trend40%
Net Income Consistency
Rev Growth-18.49%
Rev Trend50%
Revenue Consistency
All Time
Score
Net Growth-115.62%
Net Trend47%
Net Income Consistency
Rev Growth89.11%
Rev Trend67%
Revenue Consistency

See the full market ranking β†’

AMC Networks Inc fundamental performance

Between 2020 and 2025, revenue declined from $ 2.81B to $ 2.31B and net income declined from $ 239M to $ 89M. Revenue increased in 1 of those 5 years; net income in 2.

Between 2015 and 2025, revenue declined from $ 2.58B to $ 2.31B and net income declined from $ 366M to $ 89M. Revenue increased in 5 of those 10 years; net income in 4.

AMC Networks Inc currently holds a 5-year HDB Score of 2.9 out of 10. How the HDB Score is calculated.

Net Income x Stock Price

Historical Returns

Historical Returns
PeriodPriceReturn
Last Price2026-08-12
$ 11.75β€”
1 Year2025-08-12
$ 6.8471.78%
5 Years2021-08-12
$ 52.56-77.64%
10 Years2016-08-12
$ 54.78-78.55%
All Time2011-07-01
$ 39.85-70.51%

Prices are split & dividend adjusted. All values are reported in USD.

Fundamental Data

Year
2026$ 2.24B-$ 19M$ 463M
2025$ 2.31B$ 89M$ 502M
2024$ 2.42B-$ 226M$ 784M
2023$ 2.71B$ 215M$ 570M
2022$ 3.09B$ 7M$ 930M
2021$ 3.07B$ 250M$ 892M
2020$ 2.81B$ 239M$ 888M
2019$ 3.06B$ 380M$ 816M
2018$ 2.97B$ 446M$ 554M
2017$ 2.80B$ 471M$ 558M
2016$ 2.75B$ 270M$ 481M
2015$ 2.58B$ 366M$ 316M
2014$ 2.17B$ 260M$ 201M
2013$ 1.59B$ 290M$ 521M
2012$ 1.35B$ 136M$ 610M
IPO2011$ 1.18B$ 126M$ 215M

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