Recent Annual Filings for CCI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,736,000,000 $6,568,000,000 $9,506,000,000 $-3,904,000,000 $2,943,000,000 $-1,708,000,000 $15,000,000
2023 $38,527,000,000 $6,981,000,000 $4,612,000,000 $1,503,000,000 $3,126,000,000 $-1,654,000,000 $-47,000,000
2022 $38,921,000,000 $6,986,000,000 $4,561,000,000 $1,674,000,000 $2,878,000,000 $-1,665,000,000 $-139,000,000
2021 $39,040,000,000 $6,340,000,000 $4,339,000,000 $1,096,000,000 $2,789,000,000 $-1,310,000,000 $85,000,000
2020 $38,768,000,000 $5,840,000,000 $4,339,000,000 $1,057,000,000 $3,055,000,000 $-1,271,000,000 $43,000,000
2019 $38,457,000,000 $5,763,000,000 $4,204,000,000 $860,000,000 $2,698,000,000 $-692,000,000 $-75,000,000
2018 $32,785,000,000 $5,423,000,000 $3,991,000,000 $670,000,000 $2,502,000,000 $-733,000,000 $-27,000,000
2017 $32,229,570,000 $4,355,605,000 $3,311,560,000 $446,449,000 $2,044,186,000 $8,195,152,000 $-253,505,000