Recent Annual Filings for NFG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,319,770,000 $1,944,810,000 $1,735,086,000 $117,097,000 $1,065,961,000 $-149,281,000 $-17,225,000
2023 $8,280,260,000 $2,173,771,000 $1,418,624,000 $1,047,539,000 $1,237,075,000 $-206,999,000 $-82,271,000
2022 $7,896,262,000 $2,186,046,000 $1,384,266,000 $453,885,000 $812,521,000 $-276,237,000 $17,580,000
2021 $7,464,825,000 $1,742,659,000 $1,153,801,000 $-35,193,000 $791,553,000 $-58,739,000 $99,597,000
2020 $6,964,935,000 $1,546,291,000 $1,516,433,000 $-186,374,000 $740,809,000 $476,088,000 $-6,719,000
2019 $6,462,157,000 $1,693,332,000 $1,303,821,000 $319,885,000 $694,483,000 $-101,095,000 $-205,787,000
2018 $6,036,486,000 $1,592,668,000 $1,208,641,000 $353,894,000 $613,603,000 $-410,640,000 $-325,924,000
2017 $6,103,320,000 $1,579,881,000 $1,027,036,000 $258,999,000 $684,251,000 $163,872,000 $425,558,000