Recent Annual Filings for EE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,883,215,000 $851,437,000 $672,304,000 $153,031,000 $244,437,000 $-149,024,000 $-17,963,000
2023 $2,860,379,000 $1,158,963,000 $998,872,000 $126,834,000 $231,885,000 $111,357,000 $34,487,000
2022 $2,866,822,000 $2,472,973,000 $2,364,651,000 $84,231,000 $225,090,000 $341,184,000 $447,007,000
2019 $3,813,200,000 $861,994,000 $704,926,000 $112,869,000 $275,144,000 $300,000 $-2,082,000
2018 $3,628,502,000 $903,603,000 $792,920,000 $75,501,000 $285,397,000 $3,793,000 $5,910,000
2017 $3,484,363,000 $916,797,000 $767,532,000 $116,435,000 $288,561,000 $-46,047,000 $-1,430,000
2016 $3,376,278,000 $886,936,000 $736,250,000 $103,566,000 $231,150,000 $44,853,000 $271,000
2015 $3,233,852,000 $849,869,000 $733,056,000 $76,005,000 $246,671,000 $63,708,000 $-32,355,000