Recent Annual Filings for CL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $16,046,000,000 $20,101,000,000 $16,145,000,000 $2,757,000,000 $4,107,000,000 $-3,389,000,000 $130,000,000
2023 $16,393,000,000 $19,457,000,000 $16,065,000,000 $2,530,000,000 $3,745,000,000 $-2,793,000,000 $191,000,000
2022 $15,731,000,000 $17,967,000,000 $15,307,000,000 $2,294,000,000 $2,556,000,000 $-952,000,000 $-57,000,000
2021 $15,040,000,000 $17,421,000,000 $14,334,000,000 $2,295,000,000 $3,325,000,000 $-2,774,000,000 $-56,000,000
2020 $15,920,000,000 $16,471,000,000 $12,824,000,000 $2,794,000,000 $3,719,000,000 $-2,919,000,000 $5,000,000
2019 $15,034,000,000 $15,693,000,000 $12,392,000,000 $2,440,000,000 $3,133,000,000 $-870,000,000 $157,000,000
2018 $12,161,000,000 $15,544,000,000 $12,080,000,000 $2,369,000,000 $3,056,000,000 $-2,679,000,000 $-809,000,000
2017 $12,676,000,000 $15,454,000,000 $11,967,000,000 $2,516,000,000 $3,054,000,000 $-2,450,000,000 $220,000,000