Recent Annual Filings for CTVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $40,825,000,000 $16,908,000,000 $15,633,000,000 $127,000,000 $2,145,000,000 $-1,199,000,000 $264,000,000
2023 $42,996,000,000 $17,226,000,000 $16,133,000,000 $876,000,000 $1,769,000,000 $-99,000,000 $-460,000,000
2022 $42,618,000,000 $17,455,000,000 $16,029,000,000 $1,250,000,000 $872,000,000 $-1,180,000,000 $-1,218,000,000
2021 $42,344,000,000 $15,655,000,000 $13,309,000,000 $1,761,000,000 $2,727,000,000 $-1,266,000,000 $963,000,000
2020 $42,649,000,000 $14,217,000,000 $13,542,000,000 $1,081,000,000 $2,064,000,000 $303,000,000 $1,700,000,000
2019 $42,397,000,000 $13,846,000,000 $14,162,000,000 $-2,065,000,000 $1,070,000,000 $-2,929,000,000 $-2,851,000,000