Recent Annual Filings for OC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,075,000,000 $10,975,000,000 $10,059,000,000 $454,000,000 $1,892,000,000 $334,000,000 $-1,254,000,000
2023 $11,237,000,000 $9,677,000,000 $8,086,000,000 $1,370,000,000 $1,719,000,000 $-877,000,000 $516,000,000
2022 $10,752,000,000 $9,761,000,000 $8,147,000,000 $1,138,000,000 $1,760,000,000 $-974,000,000 $141,000,000
2021 $10,015,000,000 $8,498,000,000 $7,185,000,000 $1,002,000,000 $1,503,000,000 $-881,000,000 $242,000,000
2020 $9,481,000,000 $7,055,000,000 $7,311,000,000 $-363,000,000 $1,135,000,000 $-358,000,000 $545,000,000
2019 $10,006,000,000 $7,160,000,000 $6,570,000,000 $451,000,000 $1,037,000,000 $-573,000,000 $94,000,000
2018 $9,771,000,000 $7,057,000,000 $6,353,000,000 $405,000,000 $803,000,000 $647,000,000 $-168,000,000
2017 $8,632,000,000 $6,384,000,000 $5,825,000,000 $486,000,000 $1,016,000,000 $3,000,000 $135,000,000