Recent Annual Filings for TSN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $37,100,000,000 $53,309,000,000 $52,217,000,000 $912,000,000 $2,590,000,000 $-581,000,000 $1,144,000,000
2023 $36,251,000,000 $52,881,000,000 $53,559,000,000 $-612,000,000 $1,752,000,000 $88,000,000 $-458,000,000
2022 $36,821,000,000 $53,282,000,000 $49,133,000,000 $3,124,000,000 $2,687,000,000 $-2,323,000,000 $-1,606,000,000
2021 $36,309,000,000 $47,049,000,000 $43,008,000,000 $3,067,000,000 $3,840,000,000 $-2,731,000,000 $1,171,000,000
2020 $34,741,000,000 $43,185,000,000 $40,415,000,000 $2,088,000,000 $3,874,000,000 $-1,468,000,000 $982,000,000
2019 $33,097,000,000 $42,405,000,000 $39,974,000,000 $1,933,000,000 $2,513,000,000 $1,171,000,000 $214,000,000
2018 $29,109,000,000 $40,052,000,000 $37,307,000,000 $2,983,000,000 $2,963,000,000 $-1,102,000,000 $-48,000,000
2017 $28,066,000,000 $38,260,000,000 $35,632,000,000 $1,839,000,000 $2,599,000,000 $1,530,000,000 $-31,000,000