Recent Annual Filings for CW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,985,704,000 $3,121,189,000 $2,599,133,000 $374,976,000 $544,275,000 $-271,493,000 $-21,825,000
2023 $4,620,969,000 $2,845,373,000 $2,382,303,000 $400,202,000 $448,089,000 $-273,403,000 $149,893,000
2022 $4,449,602,000 $2,557,025,000 $2,167,830,000 $225,897,000 $294,776,000 $129,428,000 $85,970,000
2021 $4,103,545,000 $2,505,931,000 $2,151,421,000 $387,550,000 $387,668,000 $-369,129,000 $-27,244,000
2020 $4,021,334,000 $2,391,336,000 $2,128,285,000 $215,810,000 $261,180,000 $82,081,000 $-192,785,000
2019 $3,764,261,000 $2,487,961,000 $2,091,499,000 $297,013,000 $421,404,000 $-68,145,000 $114,967,000
2018 $3,255,385,000 $2,411,835,000 $2,055,596,000 $204,142,000 $336,273,000 $-263,639,000 $-199,054,000
2017 $3,236,321,000 $2,271,026,000 $1,971,407,000 $289,807,000 $388,712,000 $-213,898,000 $-78,728,000