Recent Annual Filings for AON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $48,965,000,000 $15,698,000,000 $11,863,000,000 $2,282,000,000 $3,035,000,000 $796,000,000 $611,000,000
2023 $33,959,000,000 $13,376,000,000 $9,591,000,000 $2,814,000,000 $3,435,000,000 $-2,865,000,000 $646,000,000
2022 $32,704,000,000 $12,479,000,000 $8,810,000,000 $1,837,000,000 $3,219,000,000 $-1,790,000,000 $431,000,000
2021 $31,917,000,000 $12,193,000,000 $10,103,000,000 $1,245,000,000 $2,182,000,000 $-1,924,000,000 $72,000,000
2020 $32,114,000,000 $11,066,000,000 $8,285,000,000 $2,141,000,000 $2,783,000,000 $-2,088,000,000 $94,000,000
2019 $29,405,000,000 $11,013,000,000 $8,844,000,000 $1,408,000,000 $1,835,000,000 $-1,493,000,000 $134,000,000
2018 $26,422,000,000 $10,770,000,000 $9,226,000,000 $722,000,000 $1,686,000,000 $-1,699,000,000 $-100,000,000
2017 $26,088,000,000 $9,998,000,000 $9,019,000,000 $1,642,000,000 $734,000,000 $-3,265,000,000 $325,000,000