Recent Annual Filings for INSW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,521,819,000 $1,071,775,000 $456,344,000 $548,419,000 $688,402,000 $-681,119,000 $-116,984,000
2022 $2,615,334,000 $864,665,000 $422,011,000 $407,215,000 $287,801,000 $-185,789,000 $144,811,000
2021 $2,346,780,000 $272,546,000 $384,683,000 $-114,407,000 $-76,192,000 $-173,840,000 $-116,744,000
2020 $1,586,539,000 $421,648,000 $381,768,000 $-17,574,000 $216,140,000 $-183,074,000 $65,434,000
2019 $1,753,501,000 $366,184,000 $311,016,000 $8,529,000 $87,486,000 $-162,761,000 $32,599,000
2018 $1,848,601,000 $270,361,000 $324,892,000 $-78,462,000 $-12,480,000 $-64,191,000 $47,038,000
2017 $1,664,484,000 $290,101,000 $398,329,000 $-94,228,000 $-3,825,000 $98,008,000 $-31,974,000
2016 $1,662,521,000 $398,319,000 $392,378,000 $-6,366,000 $116,768,000 $-357,232,000 $-216,857,000