Recent Annual Filings for OSK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,423,100,000 $10,730,200,000 $9,827,200,000 $650,200,000 $550,100,000 $-75,100,000 $86,200,000
2023 $9,129,200,000 $9,657,900,000 $8,860,300,000 $618,300,000 $599,600,000 $3,400,000 $-682,600,000
2022 $7,729,000,000 $8,282,000,000 $8,006,400,000 $210,200,000 $601,300,000 $-485,000,000 $-184,100,000
2021 $6,891,600,000 $7,737,300,000 $7,239,400,000 $540,100,000 $1,221,600,000 $-180,400,000 $795,600,000
2020 $5,815,900,000 $6,856,800,000 $6,417,700,000 $327,700,000 $327,300,000 $-115,500,000 $134,200,000
2019 $5,566,300,000 $8,382,000,000 $7,631,300,000 $493,700,000 $568,300,000 $-421,600,000 $-6,300,000
2018 $5,294,200,000 $7,705,500,000 $7,110,900,000 $490,100,000 $436,300,000 $-338,900,000 $7,600,000
2017 $5,098,900,000 $6,829,600,000 $6,418,300,000 $335,600,000 $246,500,000 $-44,800,000 $125,100,000