Recent Annual Filings for IT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,534,671,000 $6,267,411,000 $5,111,124,000 $1,241,713,000 $1,484,922,000 $-710,143,000 $613,548,000
2023 $7,835,919,000 $5,906,956,000 $4,670,062,000 $907,745,000 $1,155,737,000 $-588,881,000 $621,000,000
2022 $7,299,736,000 $5,475,846,000 $4,375,740,000 $787,620,000 $1,101,422,000 $-1,027,442,000 $-62,003,000
2021 $7,416,324,000 $4,733,962,000 $3,818,211,000 $811,357,000 $1,312,470,000 $-1,157,609,000 $48,019,000
2020 $7,315,967,000 $4,099,403,000 $3,609,253,000 $245,455,000 $903,278,000 $-416,224,000 $431,747,000
2019 $7,151,294,000 $4,245,321,000 $3,875,234,000 $195,219,000 $565,436,000 $-285,992,000 $122,173,000
2018 $6,201,474,000 $3,975,454,000 $3,715,739,000 $80,490,000 $471,158,000 $-1,257,115,000 $-408,395,000
2017 $7,283,173,000 $3,311,494,000 $3,317,823,000 $54,470,000 $254,517,000 $2,539,830,000 $48,773,000