Recent Annual Filings for FCX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $52,506,000,000 $22,855,000,000 $16,630,000,000 $3,795,000,000 $5,279,000,000 $-2,650,000,000 $-2,327,000,000
2022 $51,093,000,000 $22,780,000,000 $15,743,000,000 $4,547,000,000 $5,139,000,000 $-1,623,000,000 $76,000,000
2021 $48,022,000,000 $22,845,000,000 $14,479,000,000 $5,561,000,000 $7,715,000,000 $-1,340,000,000 $4,411,000,000
2020 $42,144,000,000 $14,198,000,000 $11,761,000,000 $955,000,000 $3,017,000,000 $-128,000,000 $1,625,000,000
2019 $40,809,000,000 $14,402,000,000 $13,311,000,000 $-257,000,000 $1,482,000,000 $-1,556,000,000 $-2,177,000,000
2018 $42,216,000,000 $18,628,000,000 $13,874,000,000 $2,860,000,000 $3,863,000,000 $900,000,000 $-255,000,000
2017 $37,302,000,000 $16,403,000,000 $12,770,000,000 $2,164,000,000 $4,682,000,000 $-3,055,000,000 $264,000,000
2016 $37,317,000,000 $14,830,000,000 $17,622,000,000 $-4,068,000,000 $3,729,000,000 $-3,166,000,000 $4,113,000,000