Recent Annual Filings for MDT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $89,981,000,000 $32,364,000,000 $27,527,000,000 $3,883,000,000 $6,787,000,000 $-4,450,000,000 $-259,000,000
2023 $90,948,000,000 $31,227,000,000 $25,863,000,000 $2,549,000,000 $6,039,000,000 $-4,960,000,000 $-2,171,000,000
2022 $90,981,000,000 $31,686,000,000 $26,169,000,000 $6,274,000,000 $7,346,000,000 $-5,336,000,000 $120,000,000
2021 $93,083,000,000 $30,117,000,000 $26,222,000,000 $3,713,000,000 $6,240,000,000 $-4,136,000,000 $-547,000,000
2020 $90,689,000,000 $28,913,000,000 $24,858,000,000 $3,955,000,000 $7,234,000,000 $-4,198,000,000 $-253,000,000
2019 $89,694,000,000 $30,557,000,000 $25,360,000,000 $3,675,000,000 $7,007,000,000 $-5,431,000,000 $724,000,000
2018 $91,393,000,000 $29,953,000,000 $24,278,000,000 $4,125,000,000 $4,684,000,000 $-11,954,000,000 $-1,298,000,000
2017 $99,816,000,000 $29,710,000,000 $25,108,000,000 $3,280,000,000 $6,880,000,000 $-3,283,000,000 $2,091,000,000