Recent Annual Filings for CHD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,883,100,000 $6,107,100,000 $5,350,800,000 $581,600,000 $1,156,200,000 $-343,400,000 $619,600,000
2023 $8,569,200,000 $5,867,900,000 $4,900,500,000 $757,700,000 $1,030,600,000 $-725,600,000 $74,200,000
2022 $8,345,600,000 $5,375,600,000 $4,852,300,000 $452,800,000 $885,200,000 $-120,900,000 $35,700,000
2021 $7,996,500,000 $5,190,100,000 $4,158,400,000 $836,900,000 $993,800,000 $-252,100,000 $57,500,000
2020 $7,414,500,000 $4,895,800,000 $3,922,000,000 $775,000,000 $990,300,000 $-360,100,000 $27,400,000
2019 $6,657,400,000 $4,357,700,000 $3,584,000,000 $602,800,000 $864,500,000 $-472,900,000 $-161,000,000
2018 $6,069,200,000 $4,145,900,000 $3,426,400,000 $552,000,000 $763,600,000 $-609,000,000 $37,800,000
2017 $6,014,800,000 $3,776,200,000 $3,083,500,000 $770,800,000 $681,500,000 $698,900,000 $91,100,000