Recent Annual Filings for COMM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,747,500,000 $4,205,800,000 $4,615,100,000 $-393,300,000 $273,100,000 $-83,000,000 $132,900,000
2023 $9,371,900,000 $5,789,200,000 $6,507,100,000 $-1,421,300,000 $289,900,000 $-181,700,000 $146,500,000
2022 $11,685,400,000 $9,228,100,000 $10,528,100,000 $-1,376,800,000 $190,000,000 $-65,000,000 $42,900,000
2021 $13,259,500,000 $8,586,700,000 $9,121,200,000 $-513,100,000 $122,300,000 $-139,500,000 $-161,600,000
2020 $13,576,800,000 $8,435,900,000 $9,090,400,000 $-532,300,000 $436,200,000 $-383,800,000 $-76,300,000
2019 $14,431,600,000 $8,345,100,000 $9,419,100,000 $-967,300,000 $596,400,000 $4,698,600,000 $140,000,000
2018 $6,630,540,000 $4,568,507,000 $4,118,539,000 $67,615,000 $494,144,000 $-409,577,000 $4,218,000
2017 $7,041,666,000 $4,560,582,000 $4,082,972,000 $392,274,000 $586,286,000 $-413,619,000 $25,749,000