Recent Annual Filings for VZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $380,255,000,000 $133,974,000,000 $111,097,000,000 $12,580,000,000 $37,475,000,000 $-14,657,000,000 $-614,000,000
2022 $379,680,000,000 $136,835,000,000 $106,368,000,000 $20,810,000,000 $37,141,000,000 $-8,529,000,000 $-50,000,000
2021 $366,596,000,000 $133,613,000,000 $101,165,000,000 $21,762,000,000 $39,539,000,000 $8,277,000,000 $-19,337,000,000
2020 $316,481,000,000 $128,292,000,000 $99,494,000,000 $17,279,000,000 $41,768,000,000 $1,325,000,000 $19,581,000,000
2019 $291,727,000,000 $131,868,000,000 $101,490,000,000 $18,416,000,000 $35,746,000,000 $-18,164,000,000 $-151,000,000
2018 $264,829,000,000 $130,863,000,000 $108,585,000,000 $15,120,000,000 $34,339,000,000 $-15,377,000,000 $666,000,000
2017 $257,143,000,000 $126,034,000,000 $98,620,000,000 $30,536,000,000 $25,305,000,000 $-6,734,000,000 $-801,000,000
2016 $244,180,000,000 $125,980,000,000 $98,921,000,000 $15,731,000,000 $22,715,000,000 $-13,322,000,000 $-1,590,000,000