Recent Annual Filings for EME

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,716,473,000 $14,566,116,000 $13,188,734,000 $1,007,322,000 $1,407,894,000 $-555,365,000 $553,245,000
2023 $6,609,721,000 $12,582,873,000 $11,710,020,000 $641,076,000 $899,655,000 $-412,054,000 $326,310,000
2022 $5,524,607,000 $11,076,120,000 $10,517,370,000 $396,233,000 $497,933,000 $-710,118,000 $-352,985,000
2021 $5,441,446,000 $9,903,580,000 $9,374,277,000 $409,372,000 $318,817,000 $-245,456,000 $-79,715,000
2020 $5,063,840,000 $8,797,061,000 $8,544,735,000 $112,998,000 $806,366,000 $-171,907,000 $539,596,000
2019 $4,830,358,000 $9,174,611,000 $8,723,722,000 $323,514,000 $355,700,000 $-19,247,000 $-8,886,000
2018 $4,088,807,000 $8,130,631,000 $7,735,603,000 $290,115,000 $271,011,000 $-253,042,000 $-99,753,000
2017 $3,965,904,000 $7,686,999,000 $7,368,250,000 $234,696,000 $366,134,000 $-228,470,000 $2,813,000