Recent Annual Filings for LHX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $41,687,000,000 $19,419,000,000 $18,198,000,000 $1,288,000,000 $2,096,000,000 $4,594,000,000 $-320,000,000
2022 $33,524,000,000 $17,062,000,000 $15,789,000,000 $919,000,000 $2,158,000,000 $-1,951,000,000 $-61,000,000
2021 $34,709,000,000 $17,814,000,000 $15,531,000,000 $2,535,000,000 $2,687,000,000 $-4,413,000,000 $-335,000,000