Recent Annual Filings for HON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $61,525,000,000 $36,662,000,000 $29,503,000,000 $5,007,000,000 $5,340,000,000 $-5,763,000,000 $-1,716,000,000
2022 $62,275,000,000 $35,466,000,000 $29,087,000,000 $4,369,000,000 $5,274,000,000 $-6,330,000,000 $-1,149,000,000
2021 $64,470,000,000 $34,392,000,000 $27,157,000,000 $6,092,000,000 $6,038,000,000 $-8,254,000,000 $-3,277,000,000
2020 $64,586,000,000 $32,637,000,000 $26,625,000,000 $4,688,000,000 $6,208,000,000 $-81,000,000 $5,140,000,000
2019 $58,679,000,000 $36,709,000,000 $29,150,000,000 $6,470,000,000 $6,897,000,000 $-6,600,000,000 $-236,000,000
2018 $57,773,000,000 $41,802,000,000 $34,315,000,000 $5,622,000,000 $6,434,000,000 $-5,032,000,000 $2,228,000,000
2017 $59,387,000,000 $40,534,000,000 $33,632,000,000 $2,177,000,000 $5,966,000,000 $-3,516,000,000 $-784,000,000
2016 $54,146,000,000 $39,302,000,000 $32,855,000,000 $4,667,000,000 $5,498,000,000 $346,000,000 $2,388,000,000