Recent Annual Filings for OXY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $85,445,000,000 $26,725,000,000 $22,655,000,000 $2,982,000,000 $11,439,000,000 $3,844,000,000 $693,000,000
2023 $74,008,000,000 $28,257,000,000 $21,828,000,000 $4,776,000,000 $12,308,000,000 $-4,890,000,000 $438,000,000
2022 $72,609,000,000 $36,634,000,000 $22,517,000,000 $13,707,000,000 $16,810,000,000 $-13,715,000,000 $-1,777,000,000
2021 $75,036,000,000 $25,956,000,000 $22,251,000,000 $2,402,000,000 $10,434,000,000 $-8,572,000,000 $609,000,000
2020 $80,064,000,000 $17,809,000,000 $33,514,000,000 $-14,898,000,000 $3,955,000,000 $-4,516,000,000 $-1,380,000,000
2019 $109,330,000,000 $20,393,000,000 $20,207,000,000 $-571,000,000 $7,375,000,000 $22,193,000,000 $541,000,000
2018 $43,854,000,000 $15,560,000,000 $9,952,000,000 $4,275,000,000 $7,669,000,000 $-3,102,000,000 $1,361,000,000
2017 $42,026,000,000 $12,508,000,000 $11,180,000,000 $1,319,000,000 $4,996,000,000 $-2,343,000,000 $-561,000,000