Recent Annual Filings for TEVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $39,326,000,000 $16,544,000,000 $17,828,000,000 $-2,467,000,000 $1,247,000,000 $-1,791,000,000 $74,000,000
2023 $43,479,000,000 $15,846,000,000 $16,470,000,000 $-524,000,000 $1,368,000,000 $-1,913,000,000 $393,000,000
2022 $44,006,000,000 $14,925,000,000 $17,990,000,000 $-2,676,000,000 $1,590,000,000 $-1,487,000,000 $636,000,000
2021 $47,666,000,000 $15,878,000,000 $15,220,000,000 $65,000,000 $798,000,000 $-2,172,000,000 $21,000,000
2020 $50,640,000,000 $16,659,000,000 $21,065,000,000 $-4,129,000,000 $1,216,000,000 $-1,885,000,000 $202,000,000
2019 $57,470,000,000 $16,887,000,000 $18,152,000,000 $-840,000,000 $748,000,000 $-1,926,000,000 $193,000,000
2018 $60,683,000,000 $18,854,000,000 $21,450,000,000 $-3,057,000,000 $2,446,000,000 $-3,351,000,000 $819,000,000
2017 $70,615,000,000 $22,385,000,000 $40,764,000,000 $-14,959,000,000 $3,507,000,000 $-5,750,000,000 $-25,000,000