Recent Annual Filings for DIS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $196,219,000,000 $91,361,000,000 $79,447,000,000 $5,450,000,000 $13,971,000,000 $-15,288,000,000 $-8,198,000,000
2023 $205,579,000,000 $88,898,000,000 $79,906,000,000 $4,184,000,000 $9,866,000,000 $-2,724,000,000 $2,501,000,000
2022 $203,631,000,000 $82,722,000,000 $75,952,000,000 $5,683,000,000 $6,010,000,000 $-4,741,000,000 $-3,739,000,000
2021 $203,609,000,000 $67,418,000,000 $63,759,000,000 $4,475,000,000 $5,567,000,000 $-4,385,000,000 $-1,951,000,000
2020 $201,549,000,000 $65,388,000,000 $61,594,000,000 $-4,086,000,000 $7,618,000,000 $8,480,000,000 $12,499,000,000
2019 $193,984,000,000 $69,570,000,000 $57,719,000,000 $8,705,000,000 $6,606,000,000 $-1,090,000,000 $1,300,000,000