Recent Annual Filings for NECB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,009,581,000 $160,013,000 $94,240,000 $46,981,000 $48,686,000 $194,890,000 $9,588,000
2023 $1,764,135,000 $132,488,000 $67,747,000 $46,437,000 $42,835,000 $288,370,000 $-26,637,000
2022 $1,424,963,000 $72,002,000 $37,573,000 $25,138,000 $27,539,000 $172,090,000 $-56,961,000
2021 $1,225,070,000 $48,404,000 $32,830,000 $11,951,000 $21,556,000 $240,385,000 $83,078,000
2014 $515,425,000 $19,948,000 $17,464,000 $1,743,000 $4,449,000 $54,904,000 $2,479,000
2013 $458,225,000 $18,552,000 $17,015,000 $1,336,000 $1,734,000 $12,528,000 $-17,711,000
2012 $444,224,000 $20,028,000 $24,843,000 $-2,692,000 $640,000 $-41,022,000 $-33,341,000
2011 $489,289,000 $22,151,000 $18,599,000 $2,355,000 $5,649,000 $18,113,000 $38,130,000