Recent Annual Filings for CG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $21,176,000,000 $2,963,900,000 $3,571,700,000 $-459,200,000 $204,900,000 $-99,600,000 $80,600,000
2022 $21,403,000,000 $4,438,700,000 $2,824,700,000 $1,192,400,000 $-379,300,000 $114,800,000 $-1,113,600,000
2021 $21,250,400,000 $8,782,100,000 $4,757,100,000 $3,000,500,000 $1,791,000,000 $-242,500,000 $1,485,500,000
2020 $15,644,800,000 $2,934,600,000 $2,333,300,000 $405,200,000 $-169,200,000 $370,300,000 $161,600,000
2019 $13,808,800,000 $3,377,000,000 $2,119,700,000 $1,205,900,000 $358,600,000 $-149,200,000 $189,700,000
2018 $12,914,200,000 $2,427,200,000 $2,071,500,000 $283,100,000 $-343,500,000 $72,000,000 $-390,500,000
2017 $12,280,600,000 $3,676,200,000 $2,632,300,000 $1,103,600,000 $-7,100,000 $318,600,000 $329,200,000
2016 $9,973,000,000 $2,274,300,000 $2,242,100,000 $-44,200,000 $-300,600,000 $15,300,000 $-320,600,000