Recent Annual Filings for AAPL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $364,980,000,000 $391,035,000,000 $267,550,000,000 $98,016,000,000 $118,254,000,000 $-121,983,000,000 $-794,000,000
2023 $352,583,000,000 $383,285,000,000 $269,549,000,000 $96,652,000,000 $110,543,000,000 $-108,488,000,000 $5,760,000,000
2022 $352,755,000,000 $394,328,000,000 $275,225,000,000 $88,531,000,000 $122,151,000,000 $-110,749,000,000 $-10,952,000,000
2021 $351,002,000,000 $365,817,000,000 $256,610,000,000 $95,249,000,000 $104,038,000,000 $-93,353,000,000 $-3,860,000,000
2020 $323,888,000,000 $274,515,000,000 $207,424,000,000 $57,453,000,000 $80,674,000,000 $-86,820,000,000 $-10,435,000,000
2019 $338,516,000,000 $260,174,000,000 $194,437,000,000 $58,037,000,000 $69,391,000,000 $-90,976,000,000 $24,311,000,000
2018 $365,725,000,000 $265,595,000,000 $192,692,000,000 $56,505,000,000 $77,434,000,000 $-87,876,000,000 $5,624,000,000
2017 $375,319,000,000 $229,234,000,000 $165,145,000,000 $47,567,000,000 $63,598,000,000 $-17,347,000,000 $-195,000,000