Recent Annual Filings for NBR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,504,301,000 $2,930,126,000 $2,999,879,000 $-87,569,000 $581,432,000 $-662,050,000 $-651,222,000
2023 $5,277,965,000 $3,005,981,000 $2,920,677,000 $50,110,000 $637,862,000 $592,592,000 $660,030,000
2022 $4,729,854,000 $2,653,766,000 $2,914,440,000 $-307,622,000 $501,089,000 $-661,532,000 $-529,151,000
2021 $5,525,364,000 $2,017,548,000 $2,507,194,000 $-543,200,000 $428,776,000 $488,421,000 $799,972,000
2020 $5,503,428,000 $2,134,043,000 $2,841,048,000 $-762,182,000 $349,761,000 $-148,001,000 $36,303,000
2019 $6,760,658,000 $3,043,383,000 $3,642,518,000 $-662,918,000 $684,558,000 $-331,573,000 $-2,871,000
2018 $7,853,944,000 $3,057,619,000 $3,566,915,000 $-653,487,000 $325,773,000 $155,629,000 $114,314,000
2017 $8,401,984,000 $2,564,285,000 $3,145,570,000 $-517,047,000 $62,756,000 $512,180,000 $72,904,000