Recent Annual Filings for ECL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $22,387,800,000 $15,741,400,000 $13,170,200,000 $2,000,300,000 $2,813,900,000 $-2,024,100,000 $337,300,000
2023 $21,846,600,000 $15,320,200,000 $13,564,700,000 $1,267,000,000 $2,411,800,000 $-1,054,700,000 $320,900,000
2022 $21,464,300,000 $14,187,800,000 $12,844,400,000 $1,012,900,000 $1,788,400,000 $-837,300,000 $238,700,000
2021 $21,206,400,000 $12,733,100,000 $11,318,900,000 $1,500,400,000 $2,061,900,000 $1,603,200,000 $-900,300,000
2020 $18,126,000,000 $11,790,200,000 $10,628,800,000 $-1,088,400,000 $1,860,200,000 $-341,800,000 $1,073,800,000
2019 $20,869,100,000 $14,906,300,000 $13,007,400,000 $1,307,500,000 $2,420,700,000 $-1,349,600,000 $-107,600,000
2018 $20,074,500,000 $14,668,200,000 $12,863,600,000 $1,320,900,000 $2,277,700,000 $-1,172,700,000 $82,600,000
2017 $19,962,400,000 $13,838,300,000 $12,073,500,000 $1,594,700,000 $2,091,300,000 $-522,700,000 $-116,000,000