Recent Annual Filings for FTI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $9,656,600,000 $7,824,200,000 $7,315,000,000 $115,400,000 $693,000,000 $-656,500,000 $-89,100,000
2022 $9,444,300,000 $6,700,400,000 $6,503,100,000 $-82,600,000 $352,100,000 $-796,700,000 $-282,400,000
2021 $10,020,100,000 $6,403,500,000 $6,369,600,000 $99,200,000 $781,300,000 $-5,065,000,000 $-3,480,400,000
2020 $19,692,600,000 $13,050,600,000 $15,936,200,000 $-3,452,300,000 $656,900,000 $-1,082,200,000 $-382,400,000
2019 $23,518,800,000 $13,409,100,000 $14,935,800,000 $-2,460,600,000 $848,500,000 $-784,400,000 $-349,800,000
2018 $24,784,500,000 $12,552,900,000 $13,470,500,000 $-2,271,400,000 $-185,400,000 $-444,800,000 $-1,197,400,000
2017 $28,263,700,000 $15,056,900,000 $14,091,700,000 $232,500,000 $210,700,000 $-1,054,800,000 $468,100,000
2015 $6,437,900,000 $6,362,700,000 $5,770,600,000 $205,800,000 $932,400,000 $-345,600,000 $277,400,000