Recent Annual Filings for GM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $273,064,000,000 $171,842,000,000 $161,439,000,000 $7,485,000,000 $20,930,000,000 $-6,353,000,000 $-32,000,000
2022 $264,037,000,000 $156,735,000,000 $145,138,000,000 $11,045,000,000 $16,043,000,000 $383,000,000 $-1,594,000,000
2021 $244,718,000,000 $127,004,000,000 $117,680,000,000 $14,151,000,000 $15,188,000,000 $1,744,000,000 $425,000,000
2020 $235,194,000,000 $122,485,000,000 $115,851,000,000 $4,003,000,000 $16,670,000,000 $5,552,000,000 $174,000,000
2019 $228,037,000,000 $137,237,000,000 $131,756,000,000 $4,539,000,000 $15,021,000,000 $-4,677,000,000 $-553,000,000
2018 $227,339,000,000 $147,049,000,000 $138,500,000,000 $7,069,000,000 $15,256,000,000 $11,454,000,000 $5,648,000,000
2017 $212,482,000,000 $145,588,000,000 $135,572,000,000 $-2,565,000,000 $17,328,000,000 $12,584,000,000 $2,688,000,000
2016 $221,690,000,000 $166,380,000,000 $156,835,000,000 $7,915,000,000 $16,545,000,000 $17,139,000,000 $-2,172,000,000