Recent Annual Filings for MRK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $117,106,000,000 $64,168,000,000 $44,232,000,000 $17,333,000,000 $21,468,000,000 $-7,032,000,000 $6,409,000,000
2023 $106,675,000,000 $60,115,000,000 $58,226,000,000 $-28,000,000 $13,006,000,000 $-4,810,000,000 $-5,864,000,000
2022 $109,160,000,000 $59,283,000,000 $42,839,000,000 $14,180,000,000 $19,095,000,000 $-9,119,000,000 $4,606,000,000
2021 $105,694,000,000 $48,704,000,000 $34,825,000,000 $14,805,000,000 $14,109,000,000 $2,593,000,000 $14,000,000
2020 $91,588,000,000 $47,994,000,000 $39,203,000,000 $6,626,000,000 $10,253,000,000 $-2,832,000,000 $-1,769,000,000
2019 $84,397,000,000 $46,840,000,000 $35,376,000,000 $9,195,000,000 $13,440,000,000 $-8,861,000,000 $1,967,000,000
2018 $82,637,000,000 $42,294,000,000 $33,593,000,000 $5,859,000,000 $10,922,000,000 $-13,160,000,000 $1,871,000,000
2017 $87,872,000,000 $40,122,000,000 $33,601,000,000 $2,710,000,000 $6,447,000,000 $-10,006,000,000 $-423,000,000