Recent Annual Filings for NOG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,603,822,000 $2,225,728,000 $1,387,897,000 $520,308,000 $1,408,663,000 $266,829,000 $738,000
2023 $4,484,255,000 $2,166,259,000 $1,044,397,000 $922,969,000 $1,183,321,000 $684,692,000 $5,667,000
2022 $2,875,178,000 $1,570,535,000 $717,343,000 $773,237,000 $928,418,000 $467,367,000 $-6,992,000
2021 $1,522,866,000 $496,899,000 $418,940,000 $6,361,000 $396,467,000 $246,059,000 $8,092,000
2020 $872,089,000 $552,210,000 $1,393,453,000 $-906,041,000 $331,685,000 $-62,399,000 $-14,640,000
2019 $1,905,465,000 $472,402,000 $416,893,000 $-76,318,000 $339,750,000 $243,088,000 $13,710,000
2018 $1,503,645,305 $678,924,496 $535,290,261 $143,689,235 $244,262,199 $130,431,056 $-99,825,333
2017 $632,253,679 $209,319,669 $220,083,457 $-9,193,772 $72,967,062 $141,969,778 $95,697,093