Recent Annual Filings for NRP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $797,876,000 $278,733,000 $77,471,000 $256,596,000 $310,978,000 $-343,496,000 $-27,102,000
2022 $877,131,000 $307,013,000 $83,731,000 $283,998,000 $266,838,000 $-365,955,000 $-96,429,000
2021 $953,823,000 $216,119,000 $107,217,000 $111,791,000 $121,804,000 $-88,486,000 $35,730,000
2020 $921,877,000 $139,739,000 $224,558,000 $-81,903,000 $89,274,000 $-89,429,000 $1,525,000
2019 $1,085,907,000 $257,437,000 $282,851,000 $-23,590,000 $137,311,000 $-252,668,000 $-107,765,000
2018 $1,341,647,000 $251,071,000 $128,711,000 $139,898,000 $188,923,000 $-203,348,000 $176,203,000
2017 $1,389,164,000 $374,161,000 $284,953,000 $87,020,000 $127,139,000 $-141,226,000 $-10,544,000
2016 $1,444,681,000 $370,978,000 $275,764,000 $97,378,000 $107,961,000 $-286,178,000 $-11,402,000