Recent Annual Filings for COP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $122,780,000,000 $54,745,000,000 $41,073,000,000 $8,445,000,000 $20,124,000,000 $-8,835,000,000 $6,000,000
2023 $95,924,000,000 $56,141,000,000 $39,853,000,000 $11,284,000,000 $19,965,000,000 $-8,661,000,000 $-795,000,000
2022 $93,829,000,000 $78,494,000,000 $50,266,000,000 $17,630,000,000 $28,314,000,000 $-18,053,000,000 $1,296,000,000
2021 $90,661,000,000 $48,349,000,000 $35,637,000,000 $8,347,000,000 $16,996,000,000 $-6,335,000,000 $2,083,000,000
2020 $62,618,000,000 $19,256,000,000 $22,396,000,000 $-2,516,000,000 $4,802,000,000 $-2,708,000,000 $-2,047,000,000
2019 $70,514,000,000 $36,670,000,000 $27,146,000,000 $8,003,000,000 $11,104,000,000 $-5,229,000,000 $-789,000,000
2018 $69,980,000,000 $38,727,000,000 $28,754,000,000 $5,702,000,000 $12,934,000,000 $-9,359,000,000 $-385,000,000
2017 $73,362,000,000 $32,584,000,000 $35,199,000,000 $-118,000,000 $7,077,000,000 $-12,356,000,000 $2,715,000,000