Recent Annual Filings for U

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,737,407,000 $1,813,255,000 $2,480,388,000 $-669,831,000 $315,553,000 $-338,307,000 $-65,163,000
2023 $7,243,441,000 $2,187,317,000 $2,985,162,000 $-830,589,000 $234,700,000 $-174,015,000 $104,725,000
2022 $7,833,985,000 $1,391,024,000 $2,273,449,000 $-917,321,000 $-59,431,000 $-226,634,000 $439,089,000
2021 $4,841,346,000 $1,110,526,000 $1,641,756,000 $-533,047,000 $-111,449,000 $1,721,002,000 $-227,348,000
2020 $2,671,225,000 $772,445,000 $1,052,662,000 $-282,094,000 $19,913,000 $1,701,455,000 $1,146,851,000