Recent Annual Filings for NTRS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $155,508,400,000 $8,290,400,000 $5,630,900,000 $2,355,000,000 $-486,000,000 $3,439,500,000 $-114,300,000
2023 $150,783,100,000 $6,773,500,000 $5,308,700,000 $1,538,600,000 $2,625,600,000 $-7,182,600,000 $137,300,000
2022 $155,036,700,000 $6,761,200,000 $4,994,900,000 $-197,600,000 $2,392,400,000 $-26,437,400,000 $1,597,400,000
2021 $183,889,800,000 $6,464,500,000 $4,454,400,000 $1,081,700,000 $1,356,000,000 $16,073,500,000 $-1,332,700,000
2020 $170,003,900,000 $6,100,800,000 $4,473,200,000 $1,832,000,000 $1,896,800,000 $27,871,900,000 $-69,700,000
2019 $136,828,400,000 $6,073,100,000 $4,129,000,000 $1,751,200,000 $2,592,000,000 $615,900,000 $-122,400,000
2018 $132,212,500,000 $5,960,200,000 $4,002,400,000 $1,542,300,000 $1,767,500,000 $-5,818,200,000 $63,500,000
2017 $138,590,500,000 $5,375,300,000 $3,741,400,000 $1,154,700,000 $1,720,400,000 $11,252,700,000 $-813,900,000