Recent Annual Filings for CBOE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $7,487,500,000 $3,773,500,000 $2,725,900,000 $761,400,000 $1,075,600,000 $-656,100,000 $364,400,000
2022 $6,998,900,000 $3,958,500,000 $3,525,600,000 $235,000,000 $651,100,000 $81,700,000 $-102,300,000
2021 $6,814,500,000 $3,494,800,000 $2,738,700,000 $529,000,000 $596,800,000 $-200,300,000 $43,800,000
2020 $6,516,500,000 $3,427,100,000 $2,766,700,000 $468,200,000 $1,458,800,000 $-201,700,000 $826,600,000
2019 $5,113,900,000 $2,496,100,000 $1,994,700,000 $370,800,000 $632,800,000 $-662,900,000 $-46,000,000
2018 $5,321,000,000 $2,768,800,000 $2,197,600,000 $425,200,000 $534,700,000 $-371,600,000 $137,500,000
2017 $5,265,700,000 $2,229,100,000 $1,894,700,000 $400,600,000 $374,400,000 $1,099,700,000 $46,200,000
2016 $476,615,000 $656,946,000 $350,342,000 $185,782,000 $229,563,000 $-150,132,000 $-4,955,000