Recent Annual Filings for CWK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,549,200,000 $9,446,500,000 $9,107,600,000 $48,100,000 $208,000,000 $-253,400,000 $13,400,000
2023 $7,774,000,000 $9,493,700,000 $9,288,100,000 $-29,800,000 $152,200,000 $-120,800,000 $82,200,000
2022 $7,949,300,000 $10,105,700,000 $9,570,600,000 $198,400,000 $49,100,000 $-79,300,000 $-171,300,000
2021 $7,890,400,000 $9,388,700,000 $8,891,700,000 $299,700,000 $549,500,000 $-65,800,000 $-273,800,000
2020 $7,337,900,000 $7,843,700,000 $7,896,800,000 $-220,400,000 $-38,200,000 $571,900,000 $291,800,000
2019 $7,163,400,000 $8,751,000,000 $8,563,700,000 $-88,200,000 $269,300,000 $-89,600,000 $-93,100,000
2018 $6,546,000,000 $8,219,900,000 $8,207,300,000 $-253,000,000 $-2,200,000 $725,900,000 $497,500,000