Recent Annual Filings for CLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,751,000,000 $7,093,000,000 $6,695,000,000 $630,000,000 $695,000,000 $-655,000,000 $-161,000,000
2023 $5,945,000,000 $7,389,000,000 $7,151,000,000 $147,000,000 $1,158,000,000 $-753,000,000 $182,000,000
2022 $6,158,000,000 $7,107,000,000 $6,500,000,000 $538,000,000 $786,000,000 $-689,000,000 $-138,000,000
2021 $6,334,000,000 $7,341,000,000 $6,441,000,000 $813,000,000 $1,276,000,000 $-1,391,000,000 $-555,000,000
2020 $6,213,000,000 $6,721,000,000 $5,536,000,000 $901,000,000 $1,546,000,000 $-523,000,000 $766,000,000
2019 $5,116,000,000 $6,214,000,000 $5,190,000,000 $804,000,000 $992,000,000 $-815,000,000 $-21,000,000
2018 $5,060,000,000 $6,124,000,000 $5,070,000,000 $819,000,000 $974,000,000 $-399,000,000 $-287,000,000
2017 $4,573,000,000 $5,973,000,000 $4,940,000,000 $728,000,000 $868,000,000 $-645,000,000 $17,000,000