Recent Annual Filings for NCLH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $19,492,990,000 $8,549,924,000 $8,386,748,000 $134,819,000 $2,005,714,000 $346,857,000 $-544,572,000
2022 $18,557,694,000 $4,843,760,000 $7,120,463,000 $-2,461,902,000 $210,020,000 $986,224,000 $-559,660,000
2021 $18,729,837,000 $647,986,000 $5,149,306,000 $-4,551,556,000 $-2,468,009,000 $1,678,218,000 $-1,793,835,000
2020 $18,399,317,000 $1,279,908,000 $5,279,955,000 $-3,957,141,000 $-2,556,243,000 $6,579,211,000 $3,047,606,000
2019 $16,684,599,000 $6,462,376,000 $5,551,011,000 $796,385,000 $1,822,605,000 $-53,388,000 $89,025,000
2018 $15,205,970,000 $6,055,126,000 $5,085,816,000 $766,230,000 $2,075,171,000 $-584,802,000 $-12,339,000
2017 $14,094,869,000 $5,396,175,000 $4,625,561,000 $1,101,311,000 $1,585,741,000 $-133,000,000 $47,843,000
2016 $12,973,911,000 $4,874,340,000 $4,234,037,000 $731,262,000 $1,239,666,000 $-98,342,000 $12,410,000