Recent Annual Filings for CCK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,034,000,000 $12,010,000,000 $11,215,000,000 $793,000,000 $1,453,000,000 $116,000,000 $761,000,000
2022 $14,301,000,000 $12,943,000,000 $11,887,000,000 $857,000,000 $803,000,000 $-25,000,000 $46,000,000
2021 $13,858,000,000 $11,394,000,000 $11,813,000,000 $884,000,000 $905,000,000 $-2,944,000,000 $-645,000,000
2020 $16,670,000,000 $11,575,000,000 $10,649,000,000 $631,000,000 $1,315,000,000 $-239,000,000 $575,000,000
2019 $15,505,000,000 $11,665,000,000 $10,879,000,000 $870,000,000 $1,163,000,000 $-786,000,000 $4,000,000
2018 $15,262,000,000 $11,151,000,000 $10,411,000,000 $389,000,000 $571,000,000 $3,533,000,000 $224,000,000
2017 $10,663,000,000 $8,698,000,000 $7,869,000,000 $590,000,000 $760,000,000 $-400,000,000 $-135,000,000
2016 $9,599,000,000 $8,284,000,000 $7,515,000,000 $337,000,000 $930,000,000 $-616,000,000 $-158,000,000