Recent Annual Filings for JNJ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $180,104,000,000 $88,821,000,000 $72,134,000,000 $14,852,000,000 $24,266,000,000 $-3,132,000,000 $2,246,000,000
2023 $167,558,000,000 $85,159,000,000 $70,097,000,000 $30,412,000,000 $22,791,000,000 $-15,825,000,000 $7,732,000,000
2022 $182,018,000,000 $93,775,000,000 $70,999,000,000 $23,062,000,000 $23,410,000,000 $-14,047,000,000 $502,000,000
2020 $174,894,000,000 $82,584,000,000 $66,087,000,000 $15,363,000,000 $23,536,000,000 $-6,120,000,000 $-3,320,000,000
2019 $157,728,000,000 $82,059,000,000 $64,731,000,000 $14,450,000,000 $23,416,000,000 $-18,015,000,000 $-802,000,000
2018 $152,954,000,000 $81,581,000,000 $63,582,000,000 $13,506,000,000 $22,201,000,000 $-18,510,000,000 $283,000,000
2017 $157,303,000,000 $76,450,000,000 $58,777,000,000 $3,002,000,000 $21,056,000,000 $-7,673,000,000 $-1,148,000,000
2015 $133,411,000,000 $70,074,000,000 $50,878,000,000 $12,966,000,000 $19,279,000,000 $-10,846,000,000 $-791,000,000