Recent Annual Filings for LMT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $52,456,000,000 $67,571,000,000 $59,473,000,000 $6,140,000,000 $7,920,000,000 $-7,331,000,000 $-1,105,000,000
2022 $52,880,000,000 $65,984,000,000 $59,304,000,000 $8,715,000,000 $7,802,000,000 $-7,070,000,000 $-1,057,000,000
2021 $50,873,000,000 $67,044,000,000 $59,494,000,000 $11,430,000,000 $9,221,000,000 $-7,616,000,000 $444,000,000
2020 $50,710,000,000 $65,398,000,000 $57,163,000,000 $6,266,000,000 $8,183,000,000 $-4,527,000,000 $1,646,000,000
2019 $47,528,000,000 $59,812,000,000 $52,571,000,000 $4,997,000,000 $7,311,000,000 $-5,328,000,000 $742,000,000
2018 $44,876,000,000 $53,762,000,000 $47,924,000,000 $5,672,000,000 $3,138,000,000 $-4,152,000,000 $-2,089,000,000
2017 $46,521,000,000 $51,048,000,000 $45,779,000,000 $1,564,000,000 $6,476,000,000 $-4,305,000,000 $1,024,000,000
2016 $47,806,000,000 $47,248,000,000 $42,362,000,000 $4,644,000,000 $5,189,000,000 $-3,457,000,000 $747,000,000