Recent Annual Filings for FMC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,653,300,000 $4,246,100,000 $3,739,600,000 $336,500,000 $671,100,000 $-870,100,000 $64,600,000
2023 $11,926,200,000 $4,486,800,000 $3,931,200,000 $1,374,600,000 $-386,400,000 $331,500,000 $-209,300,000
2022 $11,171,300,000 $5,802,300,000 $4,658,000,000 $606,500,000 $582,400,000 $-237,400,000 $78,600,000
2021 $10,581,300,000 $5,045,200,000 $4,000,300,000 $700,000,000 $820,100,000 $-747,900,000 $-52,100,000
2020 $10,186,400,000 $4,642,100,000 $3,912,300,000 $680,700,000 $647,800,000 $-250,300,000 $229,800,000
2019 $9,872,700,000 $4,609,800,000 $3,954,800,000 $387,900,000 $488,500,000 $-124,200,000 $177,400,000
2018 $9,974,300,000 $4,727,800,000 $3,984,100,000 $437,400,000 $368,400,000 $-363,300,000 $-121,300,000
2017 $9,206,300,000 $2,878,600,000 $2,618,800,000 $775,300,000 $335,500,000 $1,213,100,000 $218,800,000