Recent Annual Filings for ON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,089,800,000 $7,082,300,000 $5,244,900,000 $1,557,400,000 $1,906,400,000 $-683,800,000 $208,400,000
2023 $13,215,200,000 $8,253,000,000 $5,717,200,000 $2,163,600,000 $1,977,500,000 $-686,500,000 $-448,000,000
2022 $11,978,500,000 $8,326,200,000 $5,964,000,000 $1,921,200,000 $2,633,100,000 $-370,000,000 $1,555,300,000
2021 $9,626,000,000 $6,739,800,000 $5,582,000,000 $1,028,200,000 $1,782,000,000 $-569,400,000 $296,200,000
2020 $8,668,000,000 $5,255,000,000 $5,078,400,000 $233,100,000 $884,300,000 $-244,000,000 $187,300,000
2019 $8,425,500,000 $5,517,900,000 $5,241,300,000 $197,500,000 $694,700,000 $623,100,000 $-192,900,000
2018 $7,587,600,000 $5,878,300,000 $5,123,300,000 $632,600,000 $1,274,200,000 $-605,100,000 $120,500,000
2017 $7,195,100,000 $5,543,100,000 $4,995,600,000 $822,600,000 $1,094,200,000 $-810,900,000 $-78,900,000