Recent Annual Filings for COF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $490,144,000,000 $39,112,000,000 $33,202,000,000 $3,732,000,000 $18,159,000,000 $8,167,000,000 $-84,000,000
2023 $478,464,000,000 $36,787,000,000 $30,742,000,000 $6,535,000,000 $20,575,000,000 $13,844,000,000 $12,499,000,000
2022 $455,249,000,000 $34,250,000,000 $25,010,000,000 $-2,930,000,000 $13,809,000,000 $25,131,000,000 $9,202,000,000
2021 $432,381,000,000 $30,435,000,000 $14,626,000,000 $9,270,000,000 $12,310,000,000 $474,000,000 $-18,717,000,000
2020 $421,602,000,000 $28,523,000,000 $25,320,000,000 $5,060,000,000 $16,699,000,000 $25,164,000,000 $27,022,000,000
2019 $390,365,000,000 $28,593,000,000 $21,719,000,000 $7,077,000,000 $16,639,000,000 $6,619,000,000 $260,000,000
2018 $372,538,000,000 $28,076,000,000 $20,758,000,000 $5,879,000,000 $12,978,000,000 $1,777,000,000 $-863,000,000
2017 $365,693,000,000 $27,237,000,000 $21,745,000,000 $2,005,000,000 $14,182,000,000 $3,218,000,000 $1,859,000,000