Recent Annual Filings for NEU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $2,308,871,000 $2,698,419,000 $2,209,457,000 $439,788,000 $576,823,000 $-487,594,000 $40,936,000
2022 $2,406,818,000 $2,764,799,000 $2,417,065,000 $289,770,000 $108,620,000 $-439,357,000 $-14,847,000
2021 $2,558,436,000 $2,356,110,000 $2,108,559,000 $281,845,000 $165,336,000 $255,133,000 $-41,868,000
2020 $1,933,875,000 $2,010,931,000 $1,679,644,000 $260,152,000 $284,154,000 $-231,463,000 $-19,225,000
2019 $1,885,132,000 $2,190,295,000 $1,858,705,000 $272,854,000 $337,212,000 $-208,079,000 $71,357,000
2018 $1,697,274,000 $2,289,675,000 $1,999,390,000 $199,412,000 $197,911,000 $-145,427,000 $-11,126,000
2017 $1,712,154,000 $2,198,404,000 $1,882,962,000 $227,025,000 $242,795,000 $-18,976,000 $-107,988,000
2016 $1,416,436,000 $2,049,451,000 $1,706,243,000 $205,457,000 $353,434,000 $-103,377,000 $98,730,000