Recent Annual Filings for EQT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $39,830,255,000 $5,273,309,000 $4,588,013,000 $242,478,000 $2,826,973,000 $-1,125,875,000 $121,116,000
2023 $25,285,098,000 $6,908,923,000 $4,594,512,000 $1,734,854,000 $3,178,850,000 $-242,862,000 $-1,377,667,000
2022 $22,669,926,000 $7,497,689,000 $4,779,692,000 $1,782,559,000 $3,465,560,000 $-699,126,000 $1,344,681,000
2021 $21,607,388,000 $3,064,663,000 $4,425,638,000 $-1,153,769,000 $1,662,448,000 $506,047,000 $95,753,000
2020 $18,113,469,000 $3,058,843,000 $3,936,509,000 $-967,332,000 $1,537,701,000 $31,713,000 $13,614,000
2019 $18,809,227,000 $4,416,484,000 $5,568,594,000 $-1,221,488,000 $1,851,704,000 $-249,453,000 $1,109,000
2018 $20,721,344,000 $4,557,868,000 $7,340,992,000 $-2,011,009,000 $2,976,256,000 $859,020,000 $-143,828,000
2017 $29,522,604,000 $3,378,015,000 $2,445,034,000 $1,853,642,000 $1,637,698,000 $1,533,147,000 $-956,225,000