Recent Annual Filings for NSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $41,652,000,000 $12,156,000,000 $9,305,000,000 $1,858,000,000 $3,179,000,000 $115,000,000 $1,112,000,000
2022 $38,885,000,000 $12,745,000,000 $7,936,000,000 $3,321,000,000 $4,222,000,000 $-3,002,000,000 $-383,000,000
2021 $38,493,000,000 $11,142,000,000 $6,695,000,000 $3,197,000,000 $4,255,000,000 $-3,309,000,000 $-276,000,000
2020 $37,962,000,000 $9,789,000,000 $6,787,000,000 $1,910,000,000 $3,637,000,000 $-1,927,000,000 $535,000,000
2019 $37,923,000,000 $11,296,000,000 $7,307,000,000 $2,794,000,000 $3,892,000,000 $-1,994,000,000 $134,000,000
2018 $36,239,000,000 $11,458,000,000 $7,989,000,000 $2,547,000,000 $3,726,000,000 $-2,312,000,000 $-244,000,000
2017 $35,711,000,000 $10,551,000,000 $7,423,000,000 $5,535,000,000 $3,253,000,000 $-2,038,000,000 $-266,000,000
2016 $34,892,000,000 $9,888,000,000 $7,306,000,000 $1,626,000,000 $3,034,000,000 $-1,347,000,000 $-145,000,000