Recent Annual Filings for CRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,135,000,000 $3,198,000,000 $2,589,000,000 $377,000,000 $610,000,000 $343,000,000 $-124,000,000
2023 $3,998,000,000 $2,801,000,000 $2,025,000,000 $557,000,000 $653,000,000 $-289,000,000 $189,000,000
2022 $3,967,000,000 $2,707,000,000 $1,946,000,000 $533,000,000 $690,000,000 $-371,000,000 $2,000,000
2021 $3,846,000,000 $1,889,000,000 $1,660,000,000 $692,000,000 $660,000,000 $-222,000,000 $277,000,000
2020 $3,074,000,000 $1,559,000,000 $-312,000,000 $1,758,000,000 $106,000,000 $-58,000,000 $11,000,000
2019 $6,958,000,000 $2,634,000,000 $2,534,000,000 $-45,000,000 $676,000,000 $-282,000,000
2018 $7,158,000,000 $3,064,000,000 $2,635,000,000 $-101,000,000 $461,000,000 $692,000,000 $-3,000,000
2017 $6,207,000,000 $2,006,000,000 $2,268,000,000 $-271,000,000 $248,000,000 $73,000,000 $8,000,000