Recent Annual Filings for PSX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $75,501,000,000 $147,399,000,000 $7,417,000,000 $7,029,000,000 $-8,092,000,000 $-2,810,000,000
2022 $76,442,000,000 $169,990,000,000 $11,376,000,000 $10,813,000,000 $-6,388,000,000 $2,986,000,000
2021 $55,594,000,000 $111,476,000,000 $1,938,000,000 $6,017,000,000 $-3,470,000,000 $633,000,000
2020 $54,721,000,000 $64,129,000,000 $69,093,000,000 $-3,720,000,000 $2,111,000,000 $1,791,000,000 $900,000,000
2019 $58,720,000,000 $107,293,000,000 $103,115,000,000 $3,370,000,000 $4,808,000,000 $-2,511,000,000 $-1,405,000,000
2018 $54,302,000,000 $111,461,000,000 $104,016,000,000 $5,798,000,000 $7,573,000,000 $-5,167,000,000 $-100,000,000
2017 $54,371,000,000 $102,354,000,000 $98,799,000,000 $5,626,000,000 $3,648,000,000 $-2,111,000,000 $408,000,000
2016 $51,653,000,000 $84,279,000,000 $82,088,000,000 $1,302,000,000 $2,963,000,000 $-178,000,000 $-363,000,000