Recent Annual Filings for NFE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,867,496,000 $2,364,860,000 $1,826,221,000 $-311,855,000 $586,742,000 $2,224,568,000 $736,663,000
2023 $10,501,245,000 $2,413,296,000 $1,470,629,000 $565,424,000 $824,756,000 $1,528,950,000 $-550,437,000
2022 $7,705,082,000 $2,368,272,000 $1,630,892,000 $253,189,000 $355,111,000 $321,957,000 $594,342,000
2021 $6,876,492,000 $1,322,810,000 $1,083,932,000 $89,222,000 $84,770,000 $1,816,944,000 $-371,847,000
2020 $1,908,091,000 $451,650,000 $607,008,000 $-261,960,000 $-125,566,000 $819,498,000 $536,301,000
2019 $1,123,814,000 $189,125,000 $376,400,000 $-204,538,000 $-234,261,000 $602,607,000 $-7,818,000