Recent Annual Filings for CFG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $217,521,000,000 $7,809,000,000 $5,921,000,000 $1,672,000,000 $2,001,000,000 $-6,015,000,000 $-1,027,000,000
2023 $221,964,000,000 $8,224,000,000 $6,194,000,000 $2,410,000,000 $2,961,000,000 $-7,128,000,000 $1,081,000,000
2022 $226,733,000,000 $8,021,000,000 $5,366,000,000 $-1,822,000,000 $4,119,000,000 $9,907,000,000 $1,389,000,000
2021 $188,409,000,000 $6,647,000,000 $3,670,000,000 $1,714,000,000 $2,275,000,000 $4,636,000,000 $-3,575,000,000
2020 $183,349,000,000 $6,905,000,000 $5,607,000,000 $1,408,000,000 $111,000,000 $15,372,000,000 $9,347,000,000
2019 $165,733,000,000 $6,491,000,000 $4,240,000,000 $2,471,000,000 $1,697,000,000 $1,490,000,000 $-688,000,000
2018 $160,518,000,000 $6,128,000,000 $3,945,000,000 $1,445,000,000 $1,767,000,000 $6,352,000,000 $1,042,000,000
2017 $152,336,000,000 $5,707,000,000 $3,795,000,000 $1,645,000,000 $1,883,000,000 $1,429,000,000 $-672,000,000