Recent Annual Filings for CVS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $249,728,000,000 $357,776,000,000 $344,033,000,000 $9,335,000,000 $13,426,000,000 $2,683,000,000 $-4,780,000,000
2022 $228,275,000,000 $322,467,000,000 $314,721,000,000 $1,735,000,000 $16,177,000,000 $-10,516,000,000 $614,000,000
2021 $232,999,000,000 $292,111,000,000 $278,918,000,000 $7,449,000,000 $18,265,000,000 $-11,356,000,000 $1,648,000,000
2020 $230,715,000,000 $268,706,000,000 $254,795,000,000 $7,587,000,000 $15,865,000,000 $-8,155,000,000 $2,176,000,000
2019 $222,449,000,000 $256,776,000,000 $244,789,000,000 $7,548,000,000 $12,848,000,000 $-7,850,000,000 $1,659,000,000
2018 $196,456,000,000 $194,579,000,000 $190,558,000,000 $-322,000,000 $8,865,000,000 $36,819,000,000 $2,395,000,000
2017 $95,131,000,000 $184,765,000,000 $176,497,000,000 $6,763,000,000 $8,007,000,000 $-6,751,000,000 $-1,675,000,000
2016 $94,462,000,000 $177,526,000,000 $168,889,000,000 $5,372,000,000 $10,069,000,000 $-6,689,000,000 $912,000,000