Recent Annual Filings for ENS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $3,971,248,000 $3,617,579,000 $3,211,002,000 $321,090,000 $260,298,000 $90,270,000 $9,807,000
2024 $3,466,006,000 $3,581,871,000 $3,289,686,000 $247,544,000 $457,029,000 $-370,560,000 $-13,341,000
2023 $3,616,674,000 $3,708,579,000 $3,497,940,000 $135,531,000 $279,938,000 $-270,450,000 $-55,823,000
2022 $3,736,646,000 $3,357,319,000 $3,183,380,000 $116,427,000 $-65,585,000 $98,434,000 $-49,320,000
2021 $3,462,797,000 $2,977,932,000 $2,807,797,000 $242,781,000 $358,375,000 $-188,724,000 $124,829,000
2020 $3,301,698,000 $216,125,000 $69,188,000 $64,599,000 $253,398,000 $62,683,000 $27,767,000
2019 $3,118,193,000 $186,558,000 $4,347,000 $59,079,000 $197,855,000 $346,577,000 $-222,906,000
2018 $2,486,925,000 $186,052,000 $-52,274,000 $231,224,000 $211,048,000 $-166,888,000 $21,789,000