Recent Annual Filings for ITT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,932,600,000 $3,283,000,000 $2,763,500,000 $426,200,000 $537,700,000 $-432,300,000 $-72,000,000
2022 $3,780,300,000 $2,987,700,000 $2,525,900,000 $346,400,000 $277,800,000 $-83,300,000 $-86,400,000
2021 $3,565,400,000 $2,765,000,000 $2,255,900,000 $279,100,000 $-7,600,000 $-99,800,000 $-212,300,000
2020 $4,277,600,000 $2,477,800,000 $2,392,600,000 $179,800,000 $436,900,000 $-158,600,000 $247,700,000
2019 $4,107,700,000 $2,846,400,000 $2,432,000,000 $316,400,000 $358,600,000 $-101,500,000 $50,700,000
2018 $3,846,800,000 $2,745,100,000 $2,354,100,000 $307,300,000 $367,600,000 $-128,800,000 $171,200,000
2017 $3,700,200,000 $2,585,300,000 $2,275,900,000 $216,300,000 $245,000,000 $-112,500,000 $-70,900,000
2016 $3,601,700,000 $2,405,400,000 $2,147,000,000 $159,400,000 $252,700,000 $-141,900,000 $45,000,000