Recent Annual Filings for FCNCA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $223,720,000,000 $9,758,000,000 $6,166,000,000 $2,823,000,000 $2,988,000,000 $7,073,000,000 $-94,000,000
2023 $18,909,549,000 $1,156,180,000 $758,744,000 $468,472,000 $362,963,000 $-101,854,000 $182,659,000
2022 $18,634,484,000 $985,706,000 $538,122,000 $-415,707,000 $440,485,000 $-1,821,578,000 $-2,062,553,000
2021 $58,308,140,000 $1,451,010,000 $749,349,000 $544,972,000 $-283,783,000 $7,827,975,000 $-24,234,000
2020 $49,957,680,000 $1,484,026,000 $866,144,000 $630,709,000 $340,015,000 $9,517,072,000 $-14,671,000
2019 $39,824,496,000 $1,404,011,000 $811,963,000 $565,835,000 $540,569,000 $1,067,179,000 $49,279,000
2018 $35,408,629,000 $1,245,757,000 $742,147,000 $337,471,000 $765,800,000 $-563,619,000 $-8,710,000
2017 $34,527,512,000 $1,103,690,000 $559,992,000 $336,650,000 $351,655,000 $113,426,000 $-203,591,000