Recent Annual Filings for DAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $75,372,000,000 $61,643,000,000 $55,648,000,000 $4,323,000,000 $8,025,000,000 $-4,260,000,000 $26,000,000
2023 $73,644,000,000 $58,048,000,000 $52,527,000,000 $4,565,000,000 $6,464,000,000 $-3,394,000,000 $-78,000,000
2022 $72,288,000,000 $50,582,000,000 $46,921,000,000 $2,647,000,000 $6,363,000,000 $-4,535,000,000 $-5,096,000,000
2021 $72,459,000,000 $29,899,000,000 $28,013,000,000 $2,188,000,000 $3,264,000,000 $-3,852,000,000 $-1,486,000,000
2020 $71,996,000,000 $17,095,000,000 $29,564,000,000 $-13,434,000,000 $-3,793,000,000 $19,356,000,000 $6,325,000,000
2019 $64,532,000,000 $47,007,000,000 $40,389,000,000 $4,603,000,000 $8,425,000,000 $-2,880,000,000 $982,000,000
2018 $60,266,000,000 $44,438,000,000 $39,287,000,000 $3,837,000,000 $7,014,000,000 $-1,726,000,000 $895,000,000
2017 $53,292,000,000 $41,244,000,000 $35,543,000,000 $3,592,000,000 $5,148,000,000 $-730,000,000 $-948,000,000