Recent Annual Filings for CTSH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,966,000,000 $19,736,000,000 $16,798,000,000 $2,038,000,000 $2,124,000,000 $-915,000,000 $-486,000,000
2023 $18,483,000,000 $19,353,000,000 $16,566,000,000 $2,331,000,000 $2,330,000,000 $-1,609,000,000 $423,000,000
2022 $17,852,000,000 $19,428,000,000 $16,412,000,000 $1,954,000,000 $2,568,000,000 $-1,939,000,000 $502,000,000
2021 $17,852,000,000 $18,507,000,000 $15,680,000,000 $2,064,000,000 $2,495,000,000 $-1,203,000,000 $-888,000,000
2020 $16,923,000,000 $16,652,000,000 $14,556,000,000 $1,540,000,000 $3,299,000,000 $-2,009,000,000 $35,000,000
2019 $16,204,000,000 $16,783,000,000 $14,240,000,000 $1,918,000,000 $2,499,000,000 $-2,569,000,000 $1,484,000,000
2018 $15,913,000,000 $16,125,000,000 $13,328,000,000 $1,918,000,000 $2,592,000,000 $-1,693,000,000 $-764,000,000
2017 $15,221,000,000 $14,810,000,000 $12,155,000,000 $1,688,000,000 $2,407,000,000 $-1,985,000,000 $-109,000,000