Recent Annual Filings for APD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $39,574,600,000 $12,100,600,000 $7,279,400,000 $4,137,100,000 $3,646,700,000 $2,615,400,000 $1,362,700,000
2023 $32,002,500,000 $12,600,000,000 $9,717,600,000 $2,859,600,000 $3,206,300,000 $1,609,600,000 $-1,094,000,000
2022 $27,192,600,000 $12,698,600,000 $9,943,900,000 $967,000,000 $3,230,200,000 $-1,000,600,000 $-1,757,900,000
2021 $26,859,200,000 $10,323,000,000 $7,815,600,000 $2,777,900,000 $3,341,900,000 $-1,420,900,000 $-784,100,000
2020 $25,168,500,000 $8,856,300,000 $6,432,500,000 $2,164,600,000 $3,264,700,000 $3,284,700,000 $3,004,300,000
2019 $18,942,800,000 $8,918,900,000 $6,629,400,000 $1,155,800,000 $2,969,900,000 $-1,370,500,000 $-542,600,000
2018 $19,178,300,000 $8,930,200,000 $6,915,200,000 $1,619,400,000 $2,541,900,000 $-1,359,800,000 $-482,300,000
2017 $18,467,200,000 $8,187,600,000 $6,771,500,000 $3,554,300,000 $1,567,900,000 $-1,971,400,000 $1,942,800,000