Recent Annual Filings for UAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $74,083,000,000 $57,063,000,000 $51,967,000,000 $3,399,000,000 $9,445,000,000 $-4,182,000,000 $2,612,000,000
2023 $71,104,000,000 $53,717,000,000 $49,506,000,000 $2,381,000,000 $6,911,000,000 $-1,892,000,000 $-1,087,000,000
2022 $67,358,000,000 $44,955,000,000 $42,618,000,000 $1,854,000,000 $6,066,000,000 $-3,349,000,000 $-11,112,000,000
2021 $68,175,000,000 $24,634,000,000 $25,656,000,000 $-1,767,000,000 $2,067,000,000 $6,396,000,000 $6,791,000,000
2020 $59,548,000,000 $15,355,000,000 $21,714,000,000 $-7,490,000,000 $-4,133,000,000 $12,957,000,000 $8,874,000,000
2019 $52,611,000,000 $43,259,000,000 $38,958,000,000 $3,094,000,000 $6,909,000,000 $-1,280,000,000 $1,069,000,000
2018 $44,792,000,000 $41,303,000,000 $38,011,000,000 $2,467,000,000 $6,181,000,000 $-1,410,000,000 $208,000,000
2017 $42,326,000,000 $37,736,000,000 $34,238,000,000 $1,931,000,000 $3,413,000,000 $-195,000,000 $-712,000,000