Recent Annual Filings for NNI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $16,736,645,000 $1,109,800,000 $1,035,612,000 $71,682,000 $432,975,000 $-2,703,198,000 $-332,125,000
2022 $19,374,044,000 $742,806,000 $233,341,000 $349,571,000 $684,059,000 $-2,792,499,000 $163,427,000
2021 $21,678,041,000 $523,835,000 $21,730,000 $389,485,000 $544,867,000 $-1,494,887,000 $235,794,000
2020 $22,646,160,000 $619,656,000 $169,170,000 $352,756,000 $212,815,000 $-1,098,240,000 $-264,206,000
2019 $23,708,970,000 $948,677,000 $771,932,000 $140,383,000 $298,915,000 $-1,793,271,000 $30,210,000
2018 $25,220,968,000 $924,266,000 $637,972,000 $227,533,000 $270,892,000 $711,784,000 $250,325,000
2017 $23,964,435,000 $161,708,000 $227,508,000 $-3,500,500,000 $-2,902,000
2016 $27,180,108,000 $259,947,000 $325,257,000 $-3,578,547,000 $6,125,000