Recent Annual Filings for LLY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $78,714,900,000 $45,042,700,000 $32,362,300,000 $10,595,100,000 $8,817,900,000 $1,230,100,000 $449,800,000
2023 $64,006,300,000 $34,124,100,000 $27,569,500,000 $4,758,000,000 $4,240,100,000 $3,495,600,000 $751,600,000
2022 $49,489,800,000 $28,541,400,000 $21,735,000,000 $6,743,300,000 $7,084,400,000 $-5,406,700,000 $-1,751,500,000
2021 $48,806,000,000 $28,318,400,000 $22,162,900,000 $7,735,000,000 $7,260,700,000 $-4,131,300,000 $161,400,000
2020 $46,633,100,000 $24,539,800,000 $17,309,900,000 $6,220,900,000 $6,499,600,000 $-3,137,100,000 $1,319,600,000
2019 $39,286,100,000 $22,319,500,000 $17,053,600,000 $7,535,000,000 $4,836,600,000 $-2,324,500,000 $-5,660,700,000
2018 $43,908,400,000 $24,555,700,000 $20,760,000,000 $3,315,600,000 $5,524,500,000 $-5,904,900,000 $1,462,000,000
2017 $44,981,000,000 $22,871,300,000 $20,673,900,000 $-29,600,000 $5,615,600,000 $142,600,000 $1,954,100,000