Recent Annual Filings for CMC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,817,839,000 $7,925,972,000 $7,290,301,000 $403,317,000 $899,708,000 $-313,759,000 $263,838,000
2023 $6,639,094,000 $8,799,533,000 $7,677,566,000 $970,433,000 $1,344,103,000 $-599,479,000 $-83,526,000
2022 $6,237,027,000 $8,913,481,000 $7,398,334,000 $1,187,631,000 $700,309,000 $165,305,000 $180,899,000
2021 $4,638,671,000 $6,729,760,000 $6,195,742,000 $431,809,000 $228,474,000 $-109,390,000 $-43,835,000
2020 $4,081,728,000 $5,476,486,000 $5,105,708,000 $299,865,000 $791,204,000 $-247,790,000 $351,235,000
2019 $3,758,771,000 $5,829,002,000 $5,560,542,000 $167,644,000 $37,004,000 $-13,244,000 $-438,886,000
2018 $3,328,304,000 $4,643,723,000 $4,478,339,000 $126,342,000 $158,680,000 $259,432,000 $346,734,000
2017 $2,975,131,000 $4,569,675,000 $4,524,671,000 $77,733,000 $174,472,000 $-324,493,000 $-264,949,000