Recent Annual Filings for NATL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,741,000,000 $4,191,000,000 $3,920,000,000 $4,000,000 $355,000,000 $31,000,000 $87,000,000
2015 $1,935,882,000 $625,725,000 $598,241,000 $4,469,000 $133,992,000 $-8,470,000 $18,361,000
2014 $1,754,733,000 $602,941,000 $591,176,000 $16,228,000 $86,437,000 $-7,048,000 $17,899,000
2013 $1,623,827,000 $568,926,000 $547,234,000 $5,220,000 $50,403,000 $-7,521,000 $-6,297,000
2012 $1,570,224,000 $502,473,000 $454,644,000 $48,367,000 $71,699,000 $-53,985,000 $18,307,000
2011 $1,525,069,000 $468,518,000 $417,734,000 $46,938,000 $37,489,000 $-4,639,000 $-3,380,000