Recent Annual Filings for OLN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,579,100,000 $6,540,100,000 $6,398,400,000 $151,200,000 $503,200,000 $-212,600,000 $5,300,000
2023 $7,713,200,000 $6,833,000,000 $6,273,700,000 $451,600,000 $974,300,000 $-656,900,000 $-23,700,000
2022 $8,044,200,000 $9,376,200,000 $7,700,200,000 $1,319,000,000 $1,921,900,000 $-1,646,700,000 $13,500,000
2021 $8,517,700,000 $8,910,600,000 $7,371,900,000 $1,498,600,000 $1,741,000,000 $-1,552,000,000 $-9,200,000
2020 $8,270,900,000 $5,758,000,000 $6,778,000,000 $-856,400,000 $418,400,000 $385,600,000 $-31,200,000
2019 $9,187,800,000 $6,110,000,000 $6,146,900,000 $-163,700,000 $617,300,000 $-209,300,000 $42,100,000
2018 $8,997,400,000 $6,946,100,000 $6,508,800,000 $247,400,000 $907,800,000 $-564,800,000 $-39,600,000
2017 $9,218,300,000 $6,268,400,000 $6,151,200,000 $574,900,000 $648,800,000 $-116,800,000 $33,900,000