Recent Annual Filings for CDW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $13,284,600,000 $21,376,000,000 $19,925,800,000 $1,132,100,000 $1,598,700,000 $-1,098,700,000 $273,500,000
2022 $13,131,500,000 $23,748,700,000 $22,260,900,000 $1,056,500,000 $1,335,900,000 $-1,102,100,000 $57,100,000
2021 $13,199,400,000 $20,820,800,000 $19,523,000,000 $990,000,000 $784,600,000 $832,800,000 $-1,152,100,000
2020 $9,344,700,000 $18,467,500,000 $17,465,200,000 $810,500,000 $1,314,300,000 $138,800,000 $1,256,200,000
2019 $7,999,400,000 $18,032,400,000 $17,082,700,000 $749,600,000 $1,027,200,000 $-749,800,000 $-51,800,000
2018 $7,167,700,000 $16,240,500,000 $15,400,000,000 $608,300,000 $905,900,000 $-754,800,000 $61,600,000
2017 $6,956,600,000 $15,191,500,000 $14,531,200,000 $566,700,000 $777,700,000 $-818,700,000 $-119,500,000
2016 $6,948,400,000 $13,981,900,000 $13,309,500,000 $345,900,000 $604,000,000 $-304,600,000 $226,100,000