Recent Annual Filings for SHW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $23,632,600,000 $23,098,500,000 $19,646,700,000 $2,430,500,000 $3,153,200,000 $-2,017,100,000 $-66,400,000
2023 $22,954,400,000 $23,051,900,000 $19,942,000,000 $2,465,100,000 $3,521,900,000 $-2,424,600,000 $78,000,000
2022 $22,594,000,000 $22,148,900,000 $19,575,800,000 $2,017,900,000 $1,919,900,000 $-282,400,000 $33,100,000
2021 $20,666,700,000 $19,944,600,000 $17,696,000,000 $1,884,300,000 $2,244,600,000 $-1,834,000,000 $-60,900,000
2020 $20,401,600,000 $18,361,700,000 $15,842,500,000 $1,991,600,000 $3,408,600,000 $-3,020,100,000 $64,800,000
2019 $20,496,200,000 $17,900,800,000 $15,919,000,000 $1,500,000,000 $2,321,300,000 $-1,846,400,000 $6,300,000
2018 $19,134,000,000 $17,534,493,000 $16,174,843,000 $866,002,000 $1,943,700,000 $-1,746,653,000 $-48,708,000
2017 $19,958,000,000 $14,984,000,000 $13,456,000,000 $1,927,743,000 $1,883,968,000 $6,514,090,000 $-685,580,000