Recent Annual Filings for CME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $129,706,100,000 $5,578,900,000 $2,143,200,000 $3,303,900,000 $3,453,800,000 $-48,339,300,000 $-44,864,600,000
2022 $174,175,700,000 $5,019,400,000 $2,003,500,000 $2,504,200,000 $3,056,000,000 $-25,381,700,000 $-22,815,500,000
2021 $196,780,300,000 $4,689,700,000 $2,044,500,000 $2,555,500,000 $2,402,400,000 $69,908,700,000 $72,369,500,000
2020 $124,659,600,000 $4,883,600,000 $2,246,200,000 $2,237,900,000 $2,715,600,000 $-2,458,200,000 $81,900,000
2019 $75,215,300,000 $4,868,000,000 $2,280,200,000 $2,113,900,000 $2,672,800,000 $-2,340,800,000 $179,400,000
2018 $77,475,700,000 $4,309,400,000 $1,701,800,000 $1,949,400,000 $2,440,800,000 $-1,080,000,000 $-528,800,000
2017 $75,791,200,000 $3,644,700,000 $1,332,700,000 $4,091,800,000 $1,840,400,000 $-1,985,300,000 $35,000,000
2016 $69,369,400,000 $3,595,200,000 $1,392,500,000 $1,600,800,000 $1,716,000,000 $-1,593,700,000 $176,000,000