Recent Annual Filings for APH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,440,200,000 $15,222,700,000 $12,210,800,000 $2,257,100,000 $2,814,700,000 $1,729,900,000 $1,896,000,000
2023 $16,526,400,000 $12,554,700,000 $10,099,900,000 $1,945,700,000 $2,528,700,000 $-1,012,400,000 $122,600,000
2022 $15,326,200,000 $12,623,000,000 $10,155,600,000 $1,663,300,000 $2,174,600,000 $-1,196,700,000 $246,800,000
2021 $14,678,400,000 $10,876,300,000 $8,887,100,000 $1,594,700,000 $1,540,100,000 $-145,200,000 $-492,600,000
2020 $12,327,300,000 $8,598,900,000 $7,072,300,000 $1,369,800,000 $1,592,000,000 $-516,600,000 $741,900,000
2019 $10,815,500,000 $8,225,400,000 $6,729,500,000 $1,122,900,000 $1,502,300,000 $-648,400,000 $-374,900,000
2018 $10,044,900,000 $8,202,000,000 $6,613,600,000 $1,048,500,000 $1,112,700,000 $-1,070,100,000 $-399,200,000
2017 $10,003,900,000 $7,011,300,000 $5,658,900,000 $931,700,000 $1,144,200,000 $-140,100,000 $684,500,000