Recent Annual Filings for CTRA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,625,000,000 $5,458,000,000 $4,072,000,000 $1,122,000,000 $2,795,000,000 $279,000,000 $1,312,000,000
2023 $20,415,000,000 $5,914,000,000 $3,772,000,000 $1,623,000,000 $3,658,000,000 $-1,317,000,000 $282,000,000
2022 $20,154,000,000 $9,051,000,000 $3,841,000,000 $4,077,000,000 $5,456,000,000 $-4,145,000,000 $-363,000,000
2021 $19,900,000,000 $3,449,000,000 $1,883,000,000 $1,157,000,000 $1,667,000,000 $-1,086,000,000 $894,000,000
2020 $1,680,089,000 $1,416,187,000 $1,586,875,000 $-500,268,000 $129,236,000 $-22,376,000 $-103,109,000
2019 $2,302,823,000 $2,290,260,000 $2,447,792,000 $-351,805,000 $131,880,000 $-69,694,000 $-129,566,000
2018 $2,746,058,000 $2,031,205,000 $1,837,445,000 $277,983,000 $158,381,000 $22,709,000 $283,286,000