Recent Annual Filings for ALB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $18,270,652,000 $9,617,203,000 $9,370,465,000 $1,702,797,000 $1,325,321,000 $623,911,000 $-609,242,000
2022 $15,456,522,000 $7,320,104,000 $4,886,660,000 $2,646,836,000 $1,907,849,000 $611,887,000 $1,059,870,000
2021 $10,974,118,000 $3,327,957,000 $3,194,339,000 $133,464,000 $344,257,000 $50,212,000 $-307,452,000
2020 $10,450,946,000 $3,128,909,000 $2,755,390,000 $516,465,000 $798,914,000 $177,261,000 $133,614,000
2019 $9,860,863,000 $3,589,427,000 $3,026,477,000 $558,837,000 $719,374,000 $1,042,687,000 $57,790,000
2018 $7,581,674,000 $3,374,950,000 $2,580,249,000 $613,944,000 $546,165,000 $-786,526,000 $-581,983,000
2017 $7,750,772,000 $3,071,976,000 $2,625,178,000 $287,099,000 $303,979,000 $-1,086,868,000 $-1,132,453,000
2016 $8,161,207,000 $2,677,203,000 $2,161,939,000 $689,027,000 $733,403,000 $-1,577,903,000 $2,056,022,000