Credit Suisse Group Cash Flow from Operating Activities 2014-2023 | CS
Credit Suisse Group Annual Cash Flow Ops (Millions of US $) |
|
---|---|
2022 | $14,482 |
2021 | $40,414 |
2020 | $-6,948 |
2019 | $-18,544 |
2018 | $13,046 |
2017 | $-8,681 |
2016 | $27,185 |
2015 | $15,681 |
2014 | $-19,282 |
2013 | $23,829 |
2012 | $-13,524 |
2011 | $ |
2010 | $ |
2009 | $ |