Recent Annual Filings for TXN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $32,348,000,000 $17,519,000,000 $10,101,000,000 $6,559,000,000 $6,420,000,000 $-2,144,000,000 $-86,000,000
2022 $27,207,000,000 $20,028,000,000 $9,996,000,000 $8,652,000,000 $8,720,000,000 $-6,718,000,000 $-1,581,000,000
2021 $24,676,000,000 $18,344,000,000 $9,425,000,000 $7,972,000,000 $8,756,000,000 $-3,137,000,000 $1,524,000,000
2020 $19,351,000,000 $14,461,000,000 $8,444,000,000 $5,582,000,000 $6,139,000,000 $-4,547,000,000 $670,000,000
2019 $18,018,000,000 $14,383,000,000 $8,655,000,000 $5,143,000,000 $6,649,000,000 $-4,730,000,000 $-1,000,000
2018 $17,137,000,000 $15,784,000,000 $9,098,000,000 $5,521,000,000 $7,189,000,000 $-6,329,000,000 $782,000,000
2017 $17,642,000,000 $14,961,000,000 $8,881,000,000 $3,824,000,000 $5,363,000,000 $-3,734,000,000 $502,000,000
2016 $16,431,000,000 $13,370,000,000 $8,440,000,000 $3,601,000,000 $4,614,000,000 $-3,810,000,000 $154,000,000