Recent Annual Filings for IBM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $137,175,000,000 $62,753,000,000 $56,956,000,000 $9,516,000,000 $13,445,000,000 $-7,079,000,000 $1,070,000,000
2023 $135,241,000,000 $61,860,000,000 $53,170,000,000 $5,481,000,000 $13,931,000,000 $-1,769,000,000 $5,101,000,000
2022 $127,243,000,000 $60,530,000,000 $59,374,000,000 $8,134,000,000 $10,435,000,000 $-4,958,000,000 $1,031,000,000
2021 $132,001,000,000 $57,350,000,000 $52,513,000,000 $5,743,000,000 $12,796,000,000 $-13,354,000,000 $-6,718,000,000
2020 $155,971,000,000 $73,620,000,000 $68,983,000,000 $4,850,000,000 $18,197,000,000 $-9,721,000,000 $5,361,000,000
2019 $152,186,000,000 $77,147,000,000 $66,981,000,000 $10,324,000,000 $14,770,000,000 $9,042,000,000 $-3,291,000,000
2018 $123,382,000,000 $79,591,000,000 $68,249,000,000 $8,252,000,000 $15,247,000,000 $-10,469,000,000 $-630,000,000
2017 $125,356,000,000 $79,139,000,000 $67,739,000,000 $8,559,000,000 $16,724,000,000 $-6,418,000,000 $4,146,000,000