Recent Annual Filings for MCK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $75,140,000,000 $359,051,000,000 $354,692,000,000 $3,430,000,000 $6,085,000,000 $-3,965,000,000 $1,371,000,000
2024 $67,443,000,000 $308,951,000,000 $305,162,000,000 $3,184,000,000 $4,314,000,000 $-3,342,000,000 $-94,000,000
2023 $62,320,000,000 $276,711,000,000 $272,081,000,000 $4,395,000,000 $5,159,000,000 $-4,368,000,000 $274,000,000
2022 $63,298,000,000 $263,966,000,000 $262,038,000,000 $1,402,000,000 $4,434,000,000 $-6,321,000,000 $-1,921,000,000
2021 $65,015,000,000 $238,228,000,000 $243,262,000,000 $-4,170,000,000 $4,542,000,000 $-1,693,000,000 $2,373,000,000
2020 $61,247,000,000 $231,051,000,000 $229,907,000,000 $1,269,000,000 $4,374,000,000 $-2,734,000,000 $1,042,000,000
2019 $59,672,000,000 $214,319,000,000 $213,709,000,000 $57,000,000 $4,036,000,000 $-2,227,000,000 $309,000,000
2018 $60,381,000,000 $208,357,000,000 $208,118,000,000 $906,000,000 $4,345,000,000 $-3,084,000,000 $-111,000,000