Recent Annual Filings for NJR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,981,645,000 $1,229,949,000 $1,338,435,000 $293,213,000 $427,407,000 $141,761,000 $95,000
2023 $6,537,496,000 $1,111,520,000 $1,555,994,000 $259,591,000 $478,993,000 $59,697,000 $65,000
2022 $6,261,416,000 $1,198,985,000 $2,499,504,000 $304,624,000 $323,480,000 $262,542,000 $-4,591,000
2021 $5,722,278,000 $852,105,000 $1,868,263,000 $127,677,000 $390,954,000 $117,783,000 $-113,380,000
2020 $5,569,802,000 $833,677,000 $1,737,285,000 $181,391,000 $213,481,000 $895,904,000 $115,360,000
2019 $4,372,985,000 $782,331,000 $664,205,000 $153,774,000 $189,350,000 $95,602,000 $2,353,000
2018 $4,143,664,000 $2,915,109,000 $2,748,466,000 $227,358,000 $398,286,000 $-25,955,000 $-768,000
2017 $3,928,507,000 $2,268,617,000 $2,132,022,000 $143,964,000 $248,046,000 $107,295,000 $-35,320,000