Recent Annual Filings for CBT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,604,000,000 $3,931,000,000 $3,480,000,000 $561,000,000 $595,000,000 $-403,000,000 $-22,000,000
2022 $3,525,000,000 $4,321,000,000 $3,986,000,000 $78,000,000 $100,000,000 $145,000,000 $127,000,000
2021 $3,306,000,000 $3,409,000,000 $3,003,000,000 $355,000,000 $257,000,000 $-60,000,000 $19,000,000
2020 $2,781,000,000 $2,614,000,000 $2,647,000,000 $-173,000,000 $377,000,000 $-132,000,000 $-18,000,000
2019 $3,004,000,000 $3,337,000,000 $3,082,000,000 $106,000,000 $363,000,000 $-236,000,000 $-6,000,000
2018 $3,244,000,000 $3,242,000,000 $3,125,000,000 $-136,000,000 $298,000,000 $-141,000,000 $-105,000,000
2017 $3,314,000,000 $2,717,000,000 $2,429,000,000 $334,000,000 $340,000,000 $-125,000,000 $80,000,000
2016 $3,044,000,000 $2,411,000,000 $2,217,000,000 $133,000,000 $392,000,000 $-184,000,000 $123,000,000