Recent Annual Filings for MSFT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $512,163,000,000 $245,122,000,000 $137,335,000,000 $88,889,000,000 $118,548,000,000 $-37,757,000,000 $-16,179,000,000
2023 $411,976,000,000 $211,915,000,000 $122,604,000,000 $70,696,000,000 $87,582,000,000 $-43,935,000,000 $20,967,000,000
2022 $364,840,000,000 $198,270,000,000 $114,554,000,000 $66,238,000,000 $89,035,000,000 $-58,876,000,000 $-152,000,000
2021 $333,779,000,000 $168,088,000,000 $96,986,000,000 $59,897,000,000 $76,740,000,000 $-48,486,000,000 $648,000,000
2020 $301,311,000,000 $143,015,000,000 $89,979,000,000 $47,807,000,000 $60,675,000,000 $-46,031,000,000 $2,220,000,000
2019 $286,556,000,000 $125,843,000,000 $82,155,000,000 $41,154,000,000 $52,185,000,000 $-36,887,000,000 $-590,000,000
2018 $258,848,000,000 $110,360,000,000 $73,886,000,000 $13,715,000,000 $43,884,000,000 $-33,590,000,000 $4,283,000,000
2017 $241,086,000,000 $89,950,000,000 $66,801,000,000 $20,098,000,000 $39,507,000,000 $8,408,000,000 $1,153,000,000