Recent Annual Filings for BMY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $92,603,000,000 $48,300,000,000 $56,679,000,000 $-8,625,000,000 $15,190,000,000 $5,127,000,000 $-1,172,000,000
2023 $95,159,000,000 $45,006,000,000 $36,566,000,000 $7,775,000,000 $13,860,000,000 $-9,416,000,000 $2,194,000,000
2022 $96,820,000,000 $46,159,000,000 $38,446,000,000 $6,332,000,000 $13,066,000,000 $-16,962,000,000 $-4,991,000,000
2021 $109,314,000,000 $46,385,000,000 $38,287,000,000 $7,585,000,000 $16,207,000,000 $-16,224,000,000 $-657,000,000
2020 $118,481,000,000 $42,518,000,000 $49,389,000,000 $-9,314,000,000 $14,052,000,000 $-1,151,000,000 $2,153,000,000
2019 $129,944,000,000 $26,145,000,000 $21,170,000,000 $4,702,000,000 $8,067,000,000 $7,621,000,000 $5,909,000,000
2018 $34,986,000,000 $22,561,000,000 $16,593,000,000 $4,791,000,000 $5,940,000,000 $-3,535,000,000 $1,490,000,000
2017 $33,551,000,000 $20,776,000,000 $15,645,000,000 $1,189,000,000 $5,275,000,000 $-4,077,000,000 $1,184,000,000