Recent Annual Filings for AXTA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,249,000,000 $5,276,000,000 $4,780,000,000 $252,000,000 $576,000,000 $-201,000,000 $-107,000,000
2023 $7,272,100,000 $5,184,100,000 $4,829,400,000 $289,900,000 $575,300,000 $-315,000,000 $48,200,000
2022 $7,059,200,000 $4,884,400,000 $4,627,100,000 $139,300,000 $293,800,000 $-368,900,000 $-196,300,000
2021 $7,217,200,000 $4,416,200,000 $4,075,700,000 $274,000,000 $558,600,000 $-334,500,000 $-512,800,000
2020 $7,157,200,000 $3,737,600,000 $3,615,400,000 $91,500,000 $509,300,000 $-130,900,000 $343,500,000
2019 $6,818,000,000 $4,482,200,000 $4,152,200,000 $196,200,000 $573,100,000 $-158,400,000 $320,800,000
2018 $6,675,700,000 $4,696,000,000 $4,428,500,000 $115,500,000 $496,100,000 $-341,300,000 $-61,300,000
2017 $6,832,200,000 $4,377,000,000 $4,187,400,000 $159,300,000 $540,000,000 $367,300,000 $217,700,000