Recent Annual Filings for CSL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,620,000,000 $4,586,900,000 $3,656,500,000 $814,100,000 $1,201,300,000 $-1,349,700,000 $205,500,000
2022 $7,222,000,000 $6,591,900,000 $5,396,300,000 $871,400,000 $1,000,900,000 $-862,000,000 $75,600,000
2021 $7,246,800,000 $4,810,300,000 $4,327,800,000 $413,500,000 $421,700,000 $488,100,000 $-577,800,000
2020 $5,866,400,000 $4,245,200,000 $3,843,900,000 $347,200,000 $696,700,000 $-24,700,000 $551,000,000
2019 $5,496,000,000 $4,811,600,000 $4,216,300,000 $470,800,000 $703,100,000 $-461,200,000 $-452,400,000
2018 $5,249,200,000 $4,479,500,000 $4,033,600,000 $581,200,000 $339,200,000 $-540,700,000 $426,600,000
2017 $5,299,800,000 $4,089,900,000 $3,621,700,000 $402,000,000 $458,700,000 $627,200,000 $-5,700,000
2016 $3,965,800,000 $3,675,400,000 $3,264,900,000 $215,000,000 $531,200,000 $-261,100,000 $-25,400,000