Recent Annual Filings for XRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,365,000,000 $6,221,000,000 $7,437,000,000 $-1,344,000,000 $511,000,000 $-271,000,000 $14,000,000
2023 $10,008,000,000 $6,886,000,000 $6,914,000,000 $-138,000,000 $686,000,000 $-1,202,000,000 $-522,000,000
2022 $11,543,000,000 $7,107,000,000 $7,435,000,000 $-872,000,000 $159,000,000 $-822,000,000 $-770,000,000
2021 $13,223,000,000 $7,038,000,000 $7,513,000,000 $-111,000,000 $629,000,000 $-1,310,000,000 $-782,000,000
2020 $14,741,000,000 $7,022,000,000 $6,770,000,000 $506,000,000 $548,000,000 $-416,000,000 $-104,000,000
2019 $15,047,000,000 $9,066,000,000 $8,244,000,000 $1,407,000,000 $1,333,000,000 $-1,834,000,000 $1,647,000,000
2018 $14,874,000,000 $9,830,000,000 $9,232,000,000 $557,000,000 $1,140,000,000 $-1,301,000,000 $-220,000,000
2017 $15,946,000,000 $10,300,000,000 $9,695,000,000 $797,000,000 $34,000,000 $-985,000,000 $-930,000,000