Recent Annual Filings for MKC.V

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,070,300,000 $6,723,700,000 $5,825,400,000 $688,900,000 $921,900,000 $-583,100,000 $19,500,000
2023 $12,862,300,000 $6,662,200,000 $5,863,500,000 $776,700,000 $1,237,300,000 $-1,184,200,000 $-167,400,000
2022 $13,124,900,000 $6,350,500,000 $5,537,700,000 $632,100,000 $651,500,000 $-487,200,000 $-17,700,000
2021 $12,905,800,000 $6,317,900,000 $5,422,100,000 $800,200,000 $828,300,000 $22,000,000 $-71,900,000
2020 $12,089,700,000 $5,601,300,000 $4,719,800,000 $778,200,000 $1,041,300,000 $220,900,000 $268,200,000
2019 $10,362,100,000 $5,347,400,000 $4,528,200,000 $563,600,000 $946,800,000 $-725,800,000 $58,800,000
2018 $10,256,400,000 $5,408,900,000 $4,667,600,000 $874,600,000 $821,200,000 $-751,100,000 $-90,200,000
2017 $10,385,800,000 $4,834,100,000 $4,239,300,000 $713,500,000 $815,300,000 $3,756,000,000 $68,400,000