Recent Annual Filings for MCD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $55,182,000,000 $25,920,000,000 $14,208,000,000 $8,127,000,000 $9,447,000,000 $-7,495,000,000 $-3,495,000,000
2023 $56,146,800,000 $25,493,700,000 $13,847,000,000 $8,499,400,000 $9,611,900,000 $-4,374,100,000 $1,995,500,000
2022 $50,435,600,000 $23,182,600,000 $13,811,600,000 $6,264,500,000 $7,386,700,000 $-6,580,200,000 $-2,125,400,000
2021 $53,854,300,000 $23,222,900,000 $12,866,900,000 $7,558,300,000 $9,141,500,000 $-5,595,600,000 $1,260,100,000
2020 $52,626,800,000 $19,207,800,000 $11,883,800,000 $4,626,400,000 $6,265,200,000 $-2,249,000,000 $2,550,600,000
2019 $47,510,800,000 $21,076,500,000 $12,006,700,000 $6,152,200,000 $8,122,100,000 $-4,994,800,000 $32,500,000
2018 $32,811,200,000 $21,025,200,000 $12,202,600,000 $5,493,200,000 $6,966,700,000 $-5,949,600,000 $-1,597,800,000
2017 $33,803,700,000 $22,820,400,000 $13,267,700,000 $6,106,800,000 $5,551,200,000 $-5,310,800,000 $1,066,400,000