Recent Annual Filings for KO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $100,549,000,000 $47,061,000,000 $33,975,000,000 $8,072,000,000 $6,805,000,000 $-6,910,000,000 $1,796,000,000
2023 $97,703,000,000 $45,754,000,000 $32,802,000,000 $11,176,000,000 $11,599,000,000 $-8,310,000,000 $-133,000,000
2022 $92,763,000,000 $43,004,000,000 $31,318,000,000 $8,888,000,000 $11,018,000,000 $-10,250,000,000 $-200,000,000
2021 $94,354,000,000 $38,655,000,000 $26,230,000,000 $9,941,000,000 $12,625,000,000 $-6,786,000,000 $2,915,000,000
2020 $87,296,000,000 $33,014,000,000 $23,265,000,000 $6,558,000,000 $9,844,000,000 $-8,070,000,000 $373,000,000
2019 $86,381,000,000 $37,266,000,000 $26,480,000,000 $8,864,000,000 $10,471,000,000 $-9,004,000,000 $-2,581,000,000
2018 $83,216,000,000 $31,856,000,000 $23,506,000,000 $4,429,000,000 $7,320,000,000 $-10,552,000,000 $2,854,000,000
2017 $87,896,000,000 $35,410,000,000 $28,668,000,000 $2,221,000,000 $6,995,000,000 $-7,409,000,000 $-2,549,000,000