Recent Annual Filings for ITW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $15,518,000,000 $16,107,000,000 $12,284,000,000 $2,964,000,000 $3,539,000,000 $-2,782,000,000 $357,000,000
2022 $15,422,000,000 $15,932,000,000 $12,090,000,000 $2,695,000,000 $2,348,000,000 $-3,000,000,000 $-819,000,000
2021 $16,077,000,000 $14,455,000,000 $11,129,000,000 $2,834,000,000 $2,557,000,000 $-2,564,000,000 $-1,037,000,000
2020 $15,612,000,000 $12,574,000,000 $9,870,000,000 $2,172,000,000 $2,807,000,000 $-2,049,000,000 $583,000,000
2019 $15,068,000,000 $14,109,000,000 $10,821,000,000 $2,493,000,000 $2,995,000,000 $-2,326,000,000 $477,000,000
2018 $14,870,000,000 $14,768,000,000 $11,374,000,000 $2,218,000,000 $2,811,000,000 $-3,964,000,000 $-1,590,000,000
2017 $16,780,000,000 $14,314,000,000 $11,044,000,000 $2,207,000,000 $2,402,000,000 $-1,674,000,000 $622,000,000
2016 $15,201,000,000 $13,599,000,000 $10,691,000,000 $1,732,000,000 $2,302,000,000 $-2,255,000,000 $-618,000,000