Recent Annual Filings for SLB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $48,935,000,000 $36,289,000,000 $30,617,000,000 $3,883,000,000 $6,602,000,000 $-2,772,000,000 $685,000,000
2023 $47,957,000,000 $33,135,000,000 $27,853,000,000 $3,876,000,000 $6,637,000,000 $-2,512,000,000 $1,342,000,000
2022 $43,135,000,000 $28,091,000,000 $23,820,000,000 $3,207,000,000 $3,720,000,000 $-2,382,000,000 $-50,000,000
2021 $41,511,000,000 $22,929,000,000 $20,555,000,000 $3,242,000,000 $4,651,000,000 $-2,824,000,000 $913,000,000
2020 $42,434,000,000 $23,601,000,000 $34,899,000,000 $-10,932,000,000 $2,944,000,000 $-873,000,000 $-293,000,000
2019 $56,312,000,000 $32,917,000,000 $43,335,000,000 $-9,923,000,000 $5,431,000,000 $-3,718,000,000 $-296,000,000
2018 $70,507,000,000 $32,815,000,000 $30,191,000,000 $1,938,000,000 $5,713,000,000 $-5,020,000,000 $-366,000,000
2017 $71,987,000,000 $30,440,000,000 $31,623,000,000 $-1,144,000,000 $5,663,000,000 $-5,033,000,000 $-1,130,000,000