Recent Annual Filings for AXP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $271,461,000,000 $38,825,000,000 $25,930,000,000 $9,806,000,000 $14,050,000,000 $4,436,000,000 $-5,956,000,000
2023 $261,108,000,000 $37,218,000,000 $26,705,000,000 $8,512,000,000 $18,559,000,000 $18,379,000,000 $12,682,000,000
2022 $228,354,000,000 $34,219,000,000 $24,634,000,000 $7,249,000,000 $21,079,000,000 $24,509,000,000 $11,886,000,000
2021 $188,548,000,000 $27,716,000,000 $17,027,000,000 $8,010,000,000 $14,645,000,000 $-14,933,000,000 $-10,937,000,000
2020 $191,367,000,000 $21,974,000,000 $17,678,000,000 $2,977,000,000 $5,591,000,000 $-9,068,000,000 $8,519,000,000
2019 $198,321,000,000 $28,159,000,000 $19,730,000,000 $6,619,000,000 $13,632,000,000 $-519,000,000 $-3,362,000,000
2018 $188,602,000,000 $26,607,000,000 $18,485,000,000 $6,752,000,000 $8,930,000,000 $5,101,000,000 $-5,455,000,000
2017 $181,159,000,000 $33,471,000,000 $26,057,000,000 $3,092,000,000 $13,540,000,000 $12,245,000,000 $7,719,000,000