Recent Annual Filings for ABT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $81,414,000,000 $41,950,000,000 $35,125,000,000 $13,335,000,000 $8,558,000,000 $-5,404,000,000 $816,000,000
2023 $73,214,000,000 $40,109,000,000 $33,631,000,000 $5,935,000,000 $7,261,000,000 $-7,091,000,000 $-2,963,000,000
2022 $74,438,000,000 $43,653,000,000 $35,291,000,000 $7,256,000,000 $9,581,000,000 $-7,636,000,000 $205,000,000
2021 $75,196,000,000 $43,075,000,000 $34,650,000,000 $7,643,000,000 $10,533,000,000 $-5,494,000,000 $3,031,000,000
2020 $72,548,000,000 $34,608,000,000 $29,251,000,000 $4,014,000,000 $7,901,000,000 $-2,779,000,000 $2,907,000,000
2019 $67,887,000,000 $31,904,000,000 $27,372,000,000 $2,808,000,000 $6,136,000,000 $-4,289,000,000 $32,000,000
2018 $67,173,000,000 $30,578,000,000 $26,928,000,000 $1,176,000,000 $6,300,000,000 $-10,391,000,000 $-5,447,000,000
2017 $76,250,000,000 $27,390,000,000 $25,664,000,000 $1,529,000,000 $5,570,000,000 $-5,281,000,000 $-9,213,000,000