Recent Annual Filings for ESGR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $20,913,000,000 $1,429,000,000 $474,000,000 $1,096,000,000 $523,000,000 $-861,000,000 $-500,000,000
2022 $22,154,000,000 $-1,058,000,000 $-175,000,000 $-1,519,000,000 $257,000,000 $-116,000,000 $-762,000,000
2021 $24,429,000,000 $789,000,000 $367,000,000 $390,000,000 $3,801,000,000 $-737,000,000 $495,000,000
2020 $21,647,284,000 $2,660,506,000 $1,164,126,000 $1,800,982,000 $2,894,010,000 $117,406,000 $540,540,000
2019 $19,363,315,000 $2,573,111,000 $1,696,365,000 $924,835,000 $1,763,516,000 $293,538,000 $73,193,000
2018 $16,556,270,000 $823,535,000 $1,084,078,000 $-212,539,000 $-160,072,000 $752,986,000 $-230,252,000
2017 $13,606,422,000 $1,106,856,000 $792,445,000 $367,759,000 $-343,107,000 $-65,476,000 $-105,809,000
2016 $12,865,744,000 $1,130,995,000 $803,671,000 $316,677,000 $-202,689,000 $83,441,000 $37,461,000