Recent Annual Filings for NGL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,020,094,000 $6,956,571,000 $6,778,999,000 $-143,173,000 $376,164,000 $-258,925,000 $33,478,000
2023 $5,456,144,000 $8,694,904,000 $8,642,141,000 $52,350,000 $445,186,000 $-507,765,000 $1,609,000
2022 $6,070,345,000 $7,947,915,000 $8,131,045,000 $-184,143,000 $205,846,000 $5,555,000 $-1,007,000
2021 $5,947,341,000 $5,227,023,000 $5,867,832,000 $-639,068,000 $303,994,000 $-100,376,000 $-17,875,000
2020 $6,498,736,000 $7,584,000,000 $7,764,200,000 $-398,910,000 $464,055,000 $978,833,000 $384,625,000
2019 $5,902,493,000 $24,016,907,000 $24,079,397,000 $339,386,000 $337,250,000 $-794,245,000 $871,648,000
2018 $6,151,122,000 $17,282,718,000 $17,350,865,000 $-69,592,000 $137,642,000 $-394,281,000 $13,943,000
2017 $6,320,379,000 $13,022,228,000 $12,876,415,000 $142,203,000 $-26,824,000 $374,038,000 $-15,912,000