Recent Annual Filings for ABC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2022 $56,560,616,000 $238,587,006,000 $236,403,949,000 $244,709,000 $2,703,088,000 $-1,752,780,000 $581,871,000
2021 $57,337,805,000 $213,988,843,000 $211,766,984,000 $1,210,096,000 $2,666,586,000 $1,952,849,000 $-1,522,142,000
2020 $44,274,830,000 $189,893,926,000 $195,187,757,000 $-3,408,504,000 $2,207,040,000 $-603,617,000 $1,223,552,000
2019 $39,171,980,000 $179,589,121,000 $178,622,015,000 $820,907,000 $2,344,023,000 $-1,086,513,000 $881,678,000
2018 $37,669,838,000 $167,939,635,000 $166,762,212,000 $1,624,173,000 $1,411,388,000 $-242,873,000 $57,401,000
2017 $35,316,470,000 $153,143,826,000 $152,225,939,000 $382,942,000 $1,504,138,000 $-1,312,814,000 $-306,717,000
2016 $33,656,200,000 $146,849,686,000 $145,458,776,000 $1,449,954,000 $3,178,497,000 $565,072,000 $574,390,000
2015 $27,736,157,000 $135,961,803,000 $135,687,654,000 $-219,174,000 $3,920,379,000 $-630,285,000 $358,929,000