Recent Annual Filings for CC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,515,000,000 $5,782,000,000 $5,655,000,000 $-7,000,000 $-633,000,000 $-36,000,000 $-1,044,000,000
2023 $8,251,000,000 $6,027,000,000 $6,345,000,000 $-168,000,000 $556,000,000 $172,000,000 $503,000,000
2022 $7,640,000,000 $6,794,000,000 $6,053,000,000 $599,000,000 $754,000,000 $-685,000,000 $-247,000,000
2021 $7,550,000,000 $6,345,000,000 $5,669,000,000 $554,000,000 $820,000,000 $-560,000,000 $446,000,000
2020 $7,082,000,000 $4,969,000,000 $4,790,000,000 $258,000,000 $807,000,000 $-449,000,000 $162,000,000
2019 $7,258,000,000 $5,526,000,000 $5,650,000,000 $163,000,000 $650,000,000 $-419,000,000 $-258,000,000
2018 $7,362,000,000 $6,638,000,000 $5,483,000,000 $874,000,000 $1,140,000,000 $-993,000,000 $-355,000,000
2017 $7,293,000,000 $6,183,000,000 $5,271,000,000 $882,000,000 $639,000,000 $353,000,000 $654,000,000