Recent Annual Filings for CHRW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,297,926,000 $17,724,956,000 $17,055,815,000 $436,234,000 $509,084,000 $-416,099,000 $10,545,000
2023 $5,225,280,000 $17,596,443,000 $17,081,836,000 $333,043,000 $731,946,000 $-717,833,000 $-71,958,000
2022 $5,954,564,000 $24,696,625,000 $23,429,843,000 $912,798,000 $1,650,171,000 $-1,619,546,000 $-39,931,000
2021 $7,028,112,000 $23,102,138,000 $22,020,030,000 $829,109,000 $94,955,000 $7,573,000 $13,617,000
2020 $5,144,258,000 $16,207,106,000 $15,533,838,000 $536,572,000 $499,191,000 $-440,667,000 $-204,062,000
2019 $4,641,060,000 $15,309,508,000 $14,519,532,000 $572,754,000 $835,419,000 $-651,253,000 $69,243,000
2018 $4,427,412,000 $16,631,172,000 $15,719,089,000 $611,030,000 $792,896,000 $-655,177,000 $44,725,000
2017 $4,235,834,000 $14,869,380,000 $14,094,261,000 $547,875,000 $384,001,000 $-202,134,000 $86,224,000