Recent Annual Filings for ABBV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $134,711,000,000 $54,318,000,000 $41,561,000,000 $4,767,000,000 $22,839,000,000 $-17,222,000,000 $3,613,000,000
2022 $138,805,000,000 $58,054,000,000 $39,937,000,000 $12,545,000,000 $24,943,000,000 $-24,803,000,000 $-545,000,000
2021 $146,529,000,000 $56,197,000,000 $38,273,000,000 $11,767,000,000 $22,777,000,000 $-19,039,000,000 $1,297,000,000
2020 $150,565,000,000 $45,804,000,000 $34,441,000,000 $5,101,000,000 $17,588,000,000 $-11,501,000,000 $-31,475,000,000
2019 $89,115,000,000 $33,266,000,000 $20,283,000,000 $6,766,000,000 $13,324,000,000 $18,708,000,000 $32,635,000,000
2018 $59,352,000,000 $32,753,000,000 $26,370,000,000 $5,934,000,000 $13,427,000,000 $-14,396,000,000 $-2,014,000,000
2017 $70,786,000,000 $28,216,000,000 $18,624,000,000 $5,168,000,000 $9,960,000,000 $-5,512,000,000 $4,203,000,000
2016 $66,099,000,000 $25,638,000,000 $16,254,000,000 $5,928,000,000 $7,041,000,000 $-3,928,000,000 $-3,299,000,000