Recent Annual Filings for FTV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,016,100,000 $6,231,800,000 $5,262,200,000 $693,600,000 $1,526,800,000 $-792,700,000 $-1,075,500,000
2023 $16,911,800,000 $6,065,300,000 $5,074,500,000 $865,400,000 $1,353,600,000 $32,300,000 $1,179,600,000
2022 $15,890,600,000 $5,825,700,000 $4,952,200,000 $614,500,000 $1,303,200,000 $-1,273,000,000 $-110,100,000
2021 $16,465,500,000 $5,254,700,000 $4,577,200,000 $564,500,000 $961,100,000 $652,000,000 $-1,005,500,000
2020 $16,051,500,000 $4,634,400,000 $3,126,700,000 $1,664,100,000 $1,436,700,000 $-696,100,000 $619,600,000
2019 $17,439,000,000 $7,320,000,000 $6,445,500,000 $769,200,000 $1,271,400,000 $2,802,900,000 $26,800,000
2018 $12,905,600,000 $6,452,700,000 $5,374,300,000 $2,790,100,000 $1,344,400,000 $879,100,000 $216,300,000
2017 $10,500,600,000 $6,656,000,000 $5,371,800,000 $1,182,700,000 $1,176,400,000 $599,700,000 $158,900,000