Recent Annual Filings for GOOGL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $450,256,000,000 $350,018,000,000 $237,628,000,000 $99,720,000,000 $125,299,000,000 $-79,733,000,000 $-582,000,000
2023 $402,392,000,000 $307,394,000,000 $223,101,000,000 $76,996,000,000 $101,746,000,000 $-72,093,000,000 $2,169,000,000
2022 $365,264,000,000 $282,836,000,000 $207,994,000,000 $53,992,000,000 $91,495,000,000 $-69,757,000,000 $934,000,000
2021 $359,268,000,000 $257,637,000,000 $178,923,000,000 $73,777,000,000 $91,652,000,000 $-61,362,000,000 $-5,520,000,000
2020 $319,616,000,000 $182,527,000,000 $141,303,000,000 $42,134,000,000 $65,124,000,000 $-24,408,000,000 $7,967,000,000
2019 $275,909,000,000 $161,857,000,000 $127,626,000,000 $35,447,000,000 $54,520,000,000 $-23,209,000,000 $1,797,000,000
2018 $232,792,000,000 $136,819,000,000 $110,498,000,000 $29,520,000,000 $47,971,000,000 $-13,179,000,000 $5,986,000,000
2017 $197,295,000,000 $110,855,000,000 $84,709,000,000 $14,072,000,000 $37,091,000,000 $-8,298,000,000 $-2,203,000,000