Recent Annual Filings for MMC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $48,030,000,000 $22,736,000,000 $17,710,000,000 $3,821,000,000 $4,258,000,000 $-1,119,000,000 $2,050,000,000
2022 $33,454,000,000 $20,720,000,000 $16,638,000,000 $2,348,000,000 $3,465,000,000 $-1,046,000,000 $728,000,000
2021 $34,388,000,000 $19,820,000,000 $15,612,000,000 $3,709,000,000 $3,516,000,000 $-1,297,000,000 $700,000,000
2020 $33,049,000,000 $17,224,000,000 $14,431,000,000 $1,991,000,000 $3,382,000,000 $-1,880,000,000 $934,000,000
2019 $31,357,000,000 $16,652,000,000 $14,213,000,000 $1,365,000,000 $2,361,000,000 $3,306,000,000 $89,000,000
2018 $21,578,000,000 $14,950,000,000 $12,706,000,000 $1,080,000,000 $2,428,000,000 $-1,310,000,000 $-139,000,000
2017 $20,429,000,000 $14,024,000,000 $11,381,000,000 $2,562,000,000 $1,893,000,000 $-1,009,000,000 $179,000,000
2016 $18,190,000,000 $13,211,000,000 $10,731,000,000 $922,000,000 $2,007,000,000 $-1,067,000,000 $-348,000,000