Recent Annual Filings for CMS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $35,920,000,000 $7,515,000,000 $6,028,000,000 $952,000,000 $2,370,000,000 $614,000,000 $-70,000,000
2023 $33,517,000,000 $7,462,000,000 $6,227,000,000 $814,000,000 $2,309,000,000 $1,143,000,000 $66,000,000
2022 $31,353,000,000 $8,596,000,000 $7,372,000,000 $820,000,000 $855,000,000 $1,327,000,000 $-294,000,000
2021 $28,753,000,000 $7,329,000,000 $6,183,000,000 $1,357,000,000 $1,819,000,000 $-295,000,000 $291,000,000
2020 $29,666,000,000 $6,680,000,000 $5,318,000,000 $739,000,000 $1,276,000,000 $1,619,000,000 $28,000,000
2019 $26,837,000,000 $6,845,000,000 $5,606,000,000 $674,000,000 $1,790,000,000 $1,008,000,000 $-18,000,000
2018 $24,529,000,000 $6,873,000,000 $5,711,000,000 $657,000,000 $1,703,000,000 $874,000,000 $-29,000,000
2017 $23,050,000,000 $6,583,000,000 $5,245,000,000 $462,000,000 $1,705,000,000 $110,000,000 $-53,000,000