Recent Annual Filings for EOG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $47,186,000,000 $23,698,000,000 $15,616,000,000 $6,408,000,000 $12,143,000,000 $-4,361,000,000 $1,814,000,000
2023 $43,857,000,000 $24,186,000,000 $14,583,000,000 $7,593,000,000 $11,340,000,000 $-5,694,000,000 $-694,000,000
2022 $41,371,000,000 $25,702,000,000 $15,736,000,000 $7,763,000,000 $11,093,000,000 $-5,273,000,000 $763,000,000
2021 $38,236,000,000 $18,642,000,000 $12,540,000,000 $4,664,000,000 $8,791,000,000 $-3,493,000,000 $1,880,000,000
2020 $35,804,601,000 $11,032,048,000 $11,576,064,000 $-612,248,000 $5,007,783,000 $-359,025,000 $1,300,956,000
2019 $37,124,608,000 $17,379,973,000 $13,680,962,000 $2,731,349,000 $8,163,180,000 $-1,513,321,000 $472,338,000
2018 $33,934,474,000 $17,275,399,000 $12,806,053,000 $3,436,979,000 $7,768,608,000 $-839,103,000 $721,406,000
2017 $29,833,078,000 $11,208,320,000 $10,281,918,000 $2,582,292,000 $4,265,336,000 $-1,035,711,000 $-765,667,000