Recent Annual Filings for NSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,597,000,000 $6,581,000,000 $6,455,000,000 $91,000,000 $520,000,000 $-173,000,000 $309,000,000
2023 $2,119,659,000 $6,485,871,000 $6,260,793,000 $171,473,000 $198,488,000 $-155,012,000 $21,746,000
2022 $2,039,261,000 $5,938,818,000 $5,693,393,000 $179,277,000 $347,691,000 $-141,150,000 $174,419,000
2021 $1,753,085,000 $4,973,070,000 $4,804,752,000 $124,066,000 $260,155,000 $-208,073,000 $21,069,000
2020 $1,584,276,000 $4,287,004,000 $4,097,734,000 $138,230,000 $346,353,000 $-53,583,000 $194,149,000
2019 $1,394,996,000 $4,314,804,000 $4,125,161,000 $151,120,000 $205,153,000 $-118,353,000 $57,076,000
2018 $1,191,816,000 $3,828,549,000 $3,646,189,000 $135,409,000 $184,480,000 $-104,478,000 $-14,138,000
2017 $1,063,695,000 $3,300,223,000 $3,170,082,000 $84,400,000 $204,425,000 $-102,949,000 $68,226,000