Recent Annual Filings for INTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $196,485,000,000 $53,101,000,000 $64,311,000,000 $-19,729,000,000 $8,288,000,000 $11,138,000,000 $1,170,000,000
2023 $191,572,000,000 $54,228,000,000 $53,466,000,000 $2,022,000,000 $11,471,000,000 $8,505,000,000 $-4,065,000,000
2022 $182,103,000,000 $63,054,000,000 $55,286,000,000 $8,335,000,000 $15,433,000,000 $1,361,000,000 $6,317,000,000
2021 $168,406,000,000 $79,024,000,000 $57,321,000,000 $19,739,000,000 $29,991,000,000 $-5,862,000,000 $-1,038,000,000
2020 $153,091,000,000 $77,867,000,000 $52,789,000,000 $21,428,000,000 $35,384,000,000 $-12,917,000,000 $1,671,000,000
2019 $136,524,000,000 $71,965,000,000 $47,907,000,000 $20,742,000,000 $33,145,000,000 $-17,565,000,000 $1,175,000,000
2018 $127,963,000,000 $70,848,000,000 $47,531,000,000 $21,007,000,000 $29,432,000,000 $-18,607,000,000 $-414,000,000
2017 $123,249,000,000 $62,761,000,000 $42,409,000,000 $10,357,000,000 $22,110,000,000 $-8,475,000,000 $-2,127,000,000