Recent Annual Filings for CSCO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $124,413,000,000 $53,803,000,000 $41,569,000,000 $10,465,000,000 $10,880,000,000 $6,844,000,000 $-2,754,000,000
2023 $101,852,000,000 $56,998,000,000 $41,680,000,000 $12,660,000,000 $19,886,000,000 $-11,626,000,000 $3,153,000,000
2022 $94,002,000,000 $51,557,000,000 $37,080,000,000 $10,607,000,000 $13,226,000,000 $-15,962,000,000 $-1,183,000,000
2021 $97,497,000,000 $49,818,000,000 $36,556,000,000 $10,693,000,000 $15,454,000,000 $-12,039,000,000 $-1,870,000,000
2020 $94,853,000,000 $49,301,000,000 $35,331,000,000 $11,487,000,000 $15,426,000,000 $-18,886,000,000 $40,000,000
2019 $97,793,000,000 $51,904,000,000 $37,333,000,000 $11,846,000,000 $15,831,000,000 $-27,889,000,000 $2,779,000,000
2018 $108,784,000,000 $49,330,000,000 $36,291,000,000 $-830,000,000 $13,666,000,000 $-31,764,000,000 $-2,774,000,000
2017 $129,818,000,000 $48,005,000,000 $35,718,000,000 $9,982,000,000 $13,876,000,000 $-3,806,000,000 $4,077,000,000