Recent Annual Filings for EVRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,282,100,000 $5,847,300,000 $4,379,300,000 $891,600,000 $1,983,700,000 $280,300,000 $2,200,000
2023 $30,976,100,000 $5,508,200,000 $4,225,800,000 $748,500,000 $1,980,200,000 $494,000,000 $2,500,000
2022 $29,489,900,000 $5,859,100,000 $4,591,900,000 $774,500,000 $1,801,900,000 $349,300,000 $-1,000,000
2021 $28,520,500,000 $5,586,700,000 $4,231,800,000 $897,300,000 $1,351,700,000 $443,400,000 $-118,700,000
2020 $27,114,800,000 $4,913,400,000 $3,769,500,000 $630,600,000 $1,753,800,000 $-98,400,000 $121,700,000
2019 $25,975,900,000 $5,147,800,000 $3,962,000,000 $638,600,000 $1,749,000,000 $-805,800,000 $-137,100,000
2018 $25,598,100,000 $4,275,900,000 $3,342,300,000 $543,000,000 $1,497,800,000 $-1,538,400,000 $156,800,000