Recent Annual Filings for GE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $123,140,000,000 $38,702,000,000 $33,346,000,000 $8,838,000,000 $4,710,000,000 $-6,726,000,000 $-3,682,000,000
2023 $163,045,000,000 $67,954,000,000 $64,891,000,000 $5,567,000,000 $5,179,000,000 $-8,613,000,000 $543,000,000
2022 $187,788,000,000 $76,555,000,000 $76,375,000,000 $-2,600,000,000 $5,916,000,000 $-5,585,000,000 $2,601,000,000
2021 $198,874,000,000 $74,196,000,000 $80,702,000,000 $4,745,000,000 $3,332,000,000 $-45,177,000,000 $-20,537,000,000
2020 $253,452,000,000 $79,619,000,000 $85,809,000,000 $7,536,000,000 $3,597,000,000 $-19,852,000,000 $387,000,000
2019 $266,048,000,000 $95,214,000,000 $96,287,000,000 $-2,272,000,000 $8,772,000,000 $-16,133,000,000 $1,578,000,000
2018 $309,129,000,000 $121,615,000,000 $144,008,000,000 $-22,678,000,000 $4,246,000,000 $-31,033,000,000 $-8,548,000,000
2017 $377,945,000,000 $122,092,000,000 $130,883,000,000 $-1,801,000,000 $10,426,000,000 $-19,146,000,000 $-5,507,000,000