Recent Annual Filings for GILD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $58,995,000,000 $28,754,000,000 $27,092,000,000 $584,000,000 $10,828,000,000 $-3,433,000,000 $3,906,000,000
2023 $62,125,000,000 $27,116,000,000 $19,511,000,000 $5,639,000,000 $8,006,000,000 $-5,125,000,000 $673,000,000
2022 $63,171,000,000 $27,281,000,000 $19,951,000,000 $4,485,000,000 $9,072,000,000 $-6,469,000,000 $74,000,000
2021 $67,952,000,000 $27,305,000,000 $17,387,000,000 $6,344,000,000 $11,384,000,000 $-8,877,000,000 $-659,000,000
2020 $68,407,000,000 $24,689,000,000 $20,618,000,000 $-56,000,000 $8,168,000,000 $770,000,000 $-5,634,000,000
2019 $61,627,000,000 $22,449,000,000 $18,162,000,000 $5,369,000,000 $9,144,000,000 $-7,634,000,000 $-6,309,000,000
2018 $63,675,000,000 $22,127,000,000 $13,927,000,000 $5,668,000,000 $8,400,000,000 $-12,318,000,000 $10,352,000,000
2017 $70,283,000,000 $26,107,000,000 $11,983,000,000 $4,531,000,000 $11,898,000,000 $3,393,000,000 $-641,000,000