Recent Annual Filings for CI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $152,761,000,000 $195,265,000,000 $186,729,000,000 $5,166,000,000 $11,813,000,000 $-4,294,000,000 $2,345,000,000
2022 $143,932,000,000 $180,516,000,000 $172,102,000,000 $6,233,000,000 $8,656,000,000 $-11,240,000,000 $514,000,000
2021 $154,889,000,000 $174,078,000,000 $166,143,000,000 $5,378,000,000 $7,191,000,000 $-8,212,000,000 $-4,632,000,000
2020 $155,451,000,000 $160,401,000,000 $152,248,000,000 $8,561,000,000 $10,350,000,000 $-8,533,000,000 $4,793,000,000
2019 $155,774,000,000 $153,566,000,000 $145,489,000,000 $5,885,000,000 $9,485,000,000 $-7,187,000,000 $1,564,000,000
2018 $153,226,000,000 $48,650,000,000 $44,490,000,000 $2,241,000,000 $3,770,000,000 $23,515,000,000 $883,000,000
2017 $61,753,000,000 $41,616,000,000 $38,010,000,000 $2,529,000,000 $4,086,000,000 $-2,651,000,000 $-213,000,000
2016 $59,360,000,000 $39,668,000,000 $36,689,000,000 $1,701,000,000 $4,026,000,000 $-225,000,000 $1,217,000,000