Recent Annual Filings for USB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $678,318,000,000 $27,455,000,000 $19,546,000,000 $6,661,000,000 $11,273,000,000 $8,571,000,000 $-4,690,000,000
2023 $663,491,000,000 $28,144,000,000 $21,279,000,000 $6,769,000,000 $8,447,000,000 $-19,722,000,000 $7,650,000,000
2022 $674,805,000,000 $17,945,000,000 $10,644,000,000 $-3,626,000,000 $21,119,000,000 $-3,982,000,000 $24,637,000,000
2021 $573,284,000,000 $13,487,000,000 $3,321,000,000 $5,720,000,000 $9,870,000,000 $13,942,000,000 $-33,675,000,000
2020 $553,905,000,000 $14,840,000,000 $8,789,000,000 $6,680,000,000 $3,716,000,000 $51,899,000,000 $40,175,000,000
2019 $495,426,000,000 $17,494,000,000 $8,900,000,000 $7,895,000,000 $4,889,000,000 $17,623,000,000 $952,000,000
2018 $467,374,000,000 $22,637,000,000 $13,959,000,000 $6,506,000,000 $10,564,000,000 $361,000,000 $1,948,000,000
2017 $462,040,000,000 $22,057,000,000 $14,540,000,000 $6,384,000,000 $6,472,000,000 $9,454,000,000 $3,800,000,000