Recent Annual Filings for CSX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $42,764,000,000 $14,540,000,000 $9,985,000,000 $3,517,000,000 $5,247,000,000 $-3,062,000,000 $-420,000,000
2023 $42,408,000,000 $14,657,000,000 $9,766,000,000 $3,791,000,000 $5,549,000,000 $-3,867,000,000 $-605,000,000
2022 $41,912,000,000 $14,853,000,000 $9,439,000,000 $4,186,000,000 $5,619,000,000 $-3,769,000,000 $-281,000,000
2021 $40,531,000,000 $12,522,000,000 $7,571,000,000 $3,971,000,000 $5,099,000,000 $-4,112,000,000 $-890,000,000
2020 $39,793,000,000 $10,583,000,000 $6,956,000,000 $2,842,000,000 $4,263,000,000 $-1,443,000,000 $2,171,000,000
2019 $38,257,000,000 $11,937,000,000 $7,621,000,000 $3,317,000,000 $4,850,000,000 $-2,648,000,000 $100,000,000
2018 $36,729,000,000 $12,250,000,000 $7,946,000,000 $3,100,000,000 $4,641,000,000 $-2,500,000,000 $457,000,000
2017 $35,739,000,000 $11,408,000,000 $8,266,000,000 $5,625,000,000 $3,472,000,000 $-2,179,000,000 $-202,000,000