Recent Annual Filings for CVX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $256,938,000,000 $202,792,000,000 $175,286,000,000 $17,949,000,000 $31,492,000,000 $-23,472,000,000 $-1,013,000,000
2023 $261,632,000,000 $200,949,000,000 $171,365,000,000 $21,249,000,000 $35,609,000,000 $-30,109,000,000 $-9,846,000,000
2022 $257,709,000,000 $246,252,000,000 $196,578,000,000 $36,699,000,000 $49,602,000,000 $-24,978,000,000 $12,326,000,000
2021 $239,535,000,000 $162,465,000,000 $140,826,000,000 $17,412,000,000 $29,187,000,000 $-23,113,000,000 $58,000,000
2020 $239,790,000,000 $94,692,000,000 $102,145,000,000 $-6,183,000,000 $10,577,000,000 $-3,736,000,000 $-174,000,000
2019 $237,428,000,000 $146,516,000,000 $140,980,000,000 $1,399,000,000 $27,314,000,000 $-19,758,000,000 $-3,570,000,000
2018 $253,863,000,000 $166,339,000,000 $145,764,000,000 $15,467,000,000 $30,618,000,000 $-13,699,000,000 $4,538,000,000
2017 $253,806,000,000 $141,722,000,000 $132,501,000,000 $9,523,000,000 $20,515,000,000 $-14,554,000,000 $-2,175,000,000