Recent Annual Filings for KHC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $88,287,000,000 $25,846,000,000 $24,990,000,000 $2,408,000,000 $4,184,000,000 $-3,008,000,000 $82,000,000
2023 $90,339,000,000 $26,640,000,000 $23,007,000,000 $3,054,000,000 $3,976,000,000 $-2,678,000,000 $363,000,000
2022 $90,513,000,000 $26,485,000,000 $23,519,000,000 $1,375,000,000 $2,469,000,000 $-3,714,000,000 $-2,405,000,000
2021 $93,394,000,000 $26,042,000,000 $24,334,000,000 $1,173,000,000 $5,364,000,000 $-9,344,000,000 $28,000,000
2020 $99,830,000,000 $26,185,000,000 $25,155,000,000 $283,000,000 $4,929,000,000 $-3,331,000,000 $1,138,000,000
2019 $101,450,000,000 $24,977,000,000 $22,316,000,000 $1,861,000,000 $3,552,000,000 $-3,913,000,000 $1,144,000,000
2018 $103,461,000,000 $26,268,000,000 $37,589,000,000 $-11,157,000,000 $2,574,000,000 $-3,363,000,000 $-633,000,000
2017 $120,232,000,000 $26,232,000,000 $20,702,000,000 $11,570,000,000 $527,000,000 $-4,226,000,000 $-2,486,000,000