Recent Annual Filings for NE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $5,507,437,000 $2,589,018,000 $2,014,313,000 $481,287,000 $574,337,000 $-325,791,000 $-117,962,000
2022 $5,234,864,000 $1,413,847,000 $1,185,077,000 $167,206,000 $280,985,000 $-367,772,000 $288,985,000
2021 $2,073,442,000 $847,806,000 $785,544,000 $357,707,000 $6,168,000 $-367,935,000 $-168,319,000
2019 $8,284,498,000 $1,305,438,000 $1,971,711,000 $-875,683,000 $186,771,000 $-200,724,000 $-269,983,000
2018 $9,264,923,000 $1,082,826,000 $2,028,900,000 $-1,139,179,000 $171,851,000 $-269,396,000 $-286,922,000
2017 $10,794,659,000 $1,236,915,000 $1,400,187,000 $-484,675,000 $453,938,000 $-361,243,000 $-62,893,000
2016 $11,440,117,000 $2,302,065,000 $3,064,011,000 $-846,838,000 $1,128,282,000 $-244,874,000 $213,477,000
2015 $12,891,984,000 $3,352,252,000 $2,432,251,000 $589,444,000 $1,762,351,000 $-886,079,000 $443,735,000