Recent Annual Filings for JPM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $3,875,393,000,000 $158,104,000,000 $96,492,000,000 $56,450,000,000 $12,974,000,000 $-25,571,000,000 $56,917,000,000
2022 $3,665,743,000,000 $128,695,000,000 $82,529,000,000 $20,419,000,000 $107,119,000,000 $-126,257,000,000 $-173,600,000,000
2021 $3,743,567,000,000 $121,649,000,000 $62,087,000,000 $40,264,000,000 $78,084,000,000 $275,993,000,000 $213,225,000,000
2020 $3,386,071,000,000 $119,543,000,000 $84,136,000,000 $35,548,000,000 $-79,910,000,000 $596,645,000,000 $263,978,000,000
2019 $2,687,379,000,000 $115,627,000,000 $71,082,000,000 $39,507,000,000 $6,046,000,000 $32,987,000,000 $-15,162,000,000
2018 $2,622,532,000,000 $109,029,000,000 $68,265,000,000 $30,998,000,000 $14,187,000,000 $34,158,000,000 $-152,511,000,000
2017 $2,533,600,000,000 $99,624,000,000 $63,724,000,000 $25,497,000,000 $-2,501,000,000 $14,642,000,000 $1,954,000,000
2016 $2,490,972,000,000 $95,668,000,000 $61,132,000,000 $23,212,000,000 $20,196,000,000 $98,271,000,000 $3,383,000,000