Recent Annual Filings for CNX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,511,903,000 $1,266,786,000 $1,387,148,000 $-88,905,000 $815,779,000 $-276,680,000 $54,630,000
2023 $8,626,657,000 $3,434,948,000 $1,212,023,000 $1,719,928,000 $814,588,000 $-326,089,000 $-20,878,000
2022 $8,515,773,000 $1,261,211,000 $1,473,158,000 $-134,067,000 $1,235,014,000 $-688,964,000 $17,756,000
2021 $8,100,751,000 $756,792,000 $1,393,305,000 $-497,982,000 $926,357,000 $-523,781,000 $-18,034,000
2020 $8,041,764,000 $1,257,978,000 $1,860,809,000 $-431,323,000 $795,071,000 $-350,786,000 $5,316,000
2019 $9,060,806,000 $1,922,449,000 $1,862,765,000 $27,247,000 $980,560,000 $165,964,000 $-915,000
2018 $8,592,170,000 $1,730,434,000 $631,766,000 $884,783,000 $885,823,000 $-483,140,000 $-491,969,000
2017 $6,931,913,000 $1,455,131,000 $1,336,550,000 $392,975,000 $648,687,000 $36,102,000 $462,868,000