Recent Annual Filings for ENR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,342,400,000 $2,887,000,000 $2,833,200,000 $-4,800,000 $429,600,000 $-300,300,000 $15,300,000
2023 $4,509,600,000 $2,959,700,000 $2,784,000,000 $148,100,000 $395,200,000 $-309,400,000 $29,700,000
2022 $4,572,100,000 $3,050,100,000 $3,355,600,000 $-146,400,000 $1,000,000 $79,100,000 $-10,800,000
2021 $5,007,500,000 $3,021,500,000 $2,867,300,000 $238,200,000 $179,700,000 $-1,069,100,000 $-1,010,900,000
2020 $5,728,300,000 $2,744,800,000 $2,677,100,000 $-102,700,000 $376,400,000 $393,100,000 $991,300,000
2019 $5,449,600,000 $2,494,500,000 $2,421,400,000 $-5,400,000 $149,500,000 $1,272,100,000 $-1,509,800,000
2018 $3,178,800,000 $1,797,700,000 $1,622,500,000 $110,900,000 $228,700,000 $1,226,300,000 $1,390,300,000
2017 $1,823,600,000 $1,755,700,000 $1,482,400,000 $228,800,000 $197,200,000 $-106,900,000 $90,700,000