Recent Annual Filings for DXC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $13,205,000,000 $12,871,000,000 $12,241,000,000 $366,000,000 $1,398,000,000 $-317,000,000 $572,000,000
2024 $13,871,000,000 $13,667,000,000 $13,558,000,000 $121,000,000 $1,361,000,000 $-1,487,000,000 $-634,000,000
2023 $15,845,000,000 $14,430,000,000 $15,315,000,000 $-957,000,000 $1,415,000,000 $-1,507,000,000 $-824,000,000
2022 $20,139,000,000 $16,265,000,000 $15,124,000,000 $664,000,000 $1,501,000,000 $-1,818,000,000 $-348,000,000
2021 $22,038,000,000 $17,729,000,000 $17,075,000,000 $158,000,000 $124,000,000 $-5,476,000,000 $-648,000,000
2020 $26,006,000,000 $19,577,000,000 $24,805,000,000 $-5,706,000,000 $2,350,000,000 $657,000,000 $780,000,000
2019 $29,574,000,000 $20,753,000,000 $19,238,000,000 $957,000,000 $1,783,000,000 $-1,663,000,000 $170,000,000
2018 $33,921,000,000 $24,556,000,000 $22,885,000,000 $2,002,000,000 $3,243,000,000 $-1,890,000,000 $1,385,000,000