Recent Annual Filings for CMCSA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $266,211,000,000 $123,731,000,000 $100,434,000,000 $15,070,000,000 $27,673,000,000 $-10,883,000,000 $1,094,000,000
2023 $264,811,000,000 $121,572,000,000 $98,258,000,000 $16,445,000,000 $28,501,000,000 $-19,850,000,000 $1,499,000,000
2022 $257,275,000,000 $121,427,000,000 $107,385,000,000 $805,000,000 $26,413,000,000 $-16,184,000,000 $-3,997,000,000
2021 $275,905,000,000 $116,385,000,000 $95,568,000,000 $13,436,000,000 $29,146,000,000 $-18,618,000,000 $-2,989,000,000
2020 $273,869,000,000 $103,564,000,000 $86,071,000,000 $11,598,000,000 $24,737,000,000 $-6,513,000,000 $6,179,000,000
2019 $263,414,000,000 $108,942,000,000 $87,817,000,000 $14,725,000,000 $25,697,000,000 $-9,181,000,000 $1,680,000,000
2018 $251,684,000,000 $94,507,000,000 $75,498,000,000 $10,998,000,000 $24,297,000,000 $27,140,000,000 $338,000,000
2017 $186,949,000,000 $84,526,000,000 $66,539,000,000 $23,068,000,000 $21,403,000,000 $-7,572,000,000 $127,000,000