Recent Annual Filings for NI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $31,788,100,000 $5,282,900,000 $3,827,400,000 $847,900,000 $1,781,500,000 $-651,000,000 $-2,082,500,000
2023 $31,077,200,000 $5,347,800,000 $4,052,300,000 $677,900,000 $1,935,100,000 $3,842,200,000 $2,205,700,000
2022 $26,736,600,000 $5,738,600,000 $4,472,800,000 $881,500,000 $1,409,400,000 $1,141,300,000 $-19,500,000
2021 $24,156,900,000 $4,731,300,000 $3,724,400,000 $618,700,000 $1,217,900,000 $956,300,000 $-30,700,000
2020 $22,040,500,000 $4,473,200,000 $3,922,400,000 $-78,300,000 $1,104,000,000 $-247,700,000 $-22,800,000
2019 $22,659,800,000 $5,053,400,000 $4,162,700,000 $327,700,000 $1,583,300,000 $366,400,000 $27,300,000
2018 $21,804,000,000 $4,991,100,000 $4,866,400,000 $-34,900,000 $540,100,000 $1,468,700,000 $82,700,000
2017 $19,961,700,000 $4,874,600,000 $3,964,000,000 $110,200,000 $742,200,000 $1,068,700,000 $2,400,000