Recent Annual Filings for RTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $162,861,000,000 $80,738,000,000 $74,068,000,000 $3,677,000,000 $7,159,000,000 $-6,617,000,000 $-992,000,000
2023 $161,869,000,000 $68,920,000,000 $65,445,000,000 $2,979,000,000 $7,883,000,000 $-4,527,000,000 $335,000,000
2022 $158,864,000,000 $67,074,000,000 $61,780,000,000 $5,205,000,000 $7,168,000,000 $-5,859,000,000 $-1,562,000,000
2021 $161,404,000,000 $64,388,000,000 $59,853,000,000 $5,931,000,000 $7,071,000,000 $-6,685,000,000 $-979,000,000
2020 $162,153,000,000 $56,587,000,000 $56,178,000,000 $-755,000,000 $3,606,000,000 $-3,860,000,000 $3,143,000,000