Recent Annual Filings for EPD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $77,168,000,000 $56,219,000,000 $49,289,000,000 $5,899,000,000 $8,115,000,000 $-2,164,000,000 $518,000,000
2023 $70,982,000,000 $49,715,000,000 $43,248,000,000 $5,599,000,000 $7,569,000,000 $-4,258,000,000 $114,000,000
2022 $68,108,000,000 $58,186,000,000 $51,743,000,000 $5,694,000,000 $8,039,000,000 $-5,844,000,000 $-2,759,000,000
2021 $67,525,600,000 $40,806,900,000 $35,286,600,000 $5,206,400,000 $8,512,500,000 $-4,571,300,000 $1,806,600,000
2020 $64,106,700,000 $27,199,700,000 $22,590,700,000 $3,649,100,000 $5,891,500,000 $-2,022,700,000 $748,100,000
2019 $61,733,200,000 $32,789,200,000 $27,273,500,000 $4,707,600,000 $6,520,500,000 $-1,945,100,000 $-100,000
2018 $56,969,800,000 $36,534,200,000 $31,605,600,000 $4,461,100,000 $6,126,300,000 $-1,504,900,000 $339,800,000
2017 $54,418,100,000 $29,241,500,000 $25,738,600,000 $2,963,900,000 $4,666,300,000 $-1,727,500,000 $-347,300,000