Recent Annual Filings for NET

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,301,162,000 $1,669,626,000 $1,740,497,000 $-85,037,000 $380,429,000 $12,785,000 $62,990,000
2023 $2,759,767,000 $1,296,745,000 $1,474,607,000 $-170,069,000 $254,406,000 $-192,185,000 $-123,980,000
2022 $2,587,908,000 $975,241,000 $1,165,974,000 $-202,632,000 $123,595,000 $6,347,000 $-105,754,000
2021 $2,372,071,000 $656,426,000 $904,402,000 $-263,117,000 $64,648,000 $847,486,000 $202,812,000
2020 $1,380,651,000 $431,059,000 $556,032,000 $-119,268,000 $-17,129,000 $504,912,000 $-27,490,000
2019 $830,824,000 $287,022,000 $391,735,000 $-105,710,000 $-38,917,000 $570,768,000 $114,210,000