Recent Annual Filings for XOM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $453,475,000,000 $349,585,000,000 $300,712,000,000 $32,113,000,000 $55,022,000,000 $-42,789,000,000 $-8,381,000,000
2023 $376,317,000,000 $344,582,000,000 $291,799,000,000 $38,896,000,000 $55,369,000,000 $-34,297,000,000 $1,903,000,000
2022 $369,067,000,000 $413,680,000,000 $335,927,000,000 $57,893,000,000 $76,797,000,000 $-39,114,000,000 $22,863,000,000
2021 $338,923,000,000 $285,640,000,000 $254,406,000,000 $26,767,000,000 $48,129,000,000 $-35,423,000,000 $2,438,000,000
2020 $332,750,000,000 $181,502,000,000 $210,385,000,000 $-20,395,000,000 $14,668,000,000 $5,285,000,000 $1,275,000,000
2019 $362,597,000,000 $264,938,000,000 $244,882,000,000 $14,999,000,000 $29,716,000,000 $-6,618,000,000 $47,000,000
2018 $346,196,000,000 $279,332,000,000 $259,259,000,000 $17,751,000,000 $36,014,000,000 $-19,446,000,000 $-135,000,000
2017 $348,691,000,000 $237,162,000,000 $225,689,000,000 $26,380,000,000 $30,066,000,000 $-15,130,000,000 $-480,000,000