Recent Annual Filings for NOC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $49,359,000,000 $41,033,000,000 $36,017,000,000 $4,150,000,000 $4,388,000,000 $-1,395,000,000 $1,244,000,000
2023 $46,544,000,000 $39,290,000,000 $36,944,000,000 $2,081,000,000 $3,875,000,000 $-1,761,000,000 $532,000,000
2022 $43,755,000,000 $36,602,000,000 $30,766,000,000 $4,886,000,000 $2,901,000,000 $-2,613,000,000 $-953,000,000
2021 $42,579,000,000 $35,667,000,000 $26,729,000,000 $6,990,000,000 $3,567,000,000 $-7,002,000,000 $-1,377,000,000
2020 $44,469,000,000 $36,799,000,000 $33,071,000,000 $3,158,000,000 $4,305,000,000 $-432,000,000 $2,662,000,000
2019 $41,089,000,000 $33,841,000,000 $31,293,000,000 $2,203,000,000 $4,297,000,000 $-2,424,000,000 $666,000,000
2018 $37,653,000,000 $30,095,000,000 $26,353,000,000 $3,155,000,000 $3,827,000,000 $-4,595,000,000 $-9,646,000,000
2017 $34,917,000,000 $25,803,000,000 $22,754,000,000 $2,843,000,000 $2,613,000,000 $6,960,000,000 $8,684,000,000