Recent Annual Filings for OTIS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $10,117,000,000 $14,209,000,000 $12,044,000,000 $1,333,000,000 $1,627,000,000 $-1,350,000,000 $85,000,000
2022 $9,819,000,000 $13,685,000,000 $11,678,000,000 $1,430,000,000 $1,560,000,000 $-3,652,000,000 $-2,282,000,000
2021 $12,279,000,000 $14,298,000,000 $12,212,000,000 $1,445,000,000 $1,750,000,000 $58,000,000 $1,676,000,000
2020 $10,710,000,000 $12,756,000,000 $11,053,000,000 $1,035,000,000 $1,480,000,000 $-844,000,000 $342,000,000