Recent Annual Filings for OMC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,620,700,000 $15,689,100,000 $13,414,500,000 $1,422,600,000 $1,733,500,000 $-582,000,000 $92,800,000
2023 $28,044,600,000 $14,692,200,000 $12,587,500,000 $1,574,700,000 $1,421,900,000 $-1,387,800,000 $113,200,000
2022 $27,002,500,000 $14,289,100,000 $12,205,800,000 $1,201,700,000 $926,500,000 $-1,362,000,000 $-816,400,000
2021 $28,421,800,000 $14,289,400,000 $12,091,500,000 $1,452,200,000 $1,945,400,000 $-1,391,000,000 $-283,700,000
2020 $27,647,200,000 $13,171,100,000 $11,572,300,000 $1,008,600,000 $1,724,600,000 $-408,400,000 $1,294,800,000
2019 $26,783,400,000 $14,953,700,000 $12,831,400,000 $1,488,600,000 $1,856,000,000 $-1,222,000,000 $653,300,000
2018 $24,617,000,000 $15,290,200,000 $13,365,900,000 $1,144,800,000 $1,722,300,000 $-1,441,100,000 $-143,600,000
2017 $24,931,200,000 $15,273,600,000 $13,388,700,000 $1,610,800,000 $2,023,900,000 $-1,342,600,000 $793,800,000