Recent Annual Filings for NUE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $33,940,000,000 $30,734,000,000 $27,832,000,000 $2,273,000,000 $3,979,000,000 $-3,058,000,000 $-2,813,000,000
2023 $35,340,499,000 $34,713,501,000 $28,440,744,000 $4,888,236,000 $7,111,931,000 $-2,592,811,000 $2,022,689,000
2022 $32,479,210,000 $41,512,467,000 $31,267,623,000 $8,057,405,000 $10,072,054,000 $-2,510,863,000 $1,858,482,000
2021 $25,823,072,000 $36,483,939,000 $27,283,081,000 $7,125,949,000 $6,230,776,000 $-3,602,879,000 $-245,955,000
2020 $20,125,394,000 $20,139,658,000 $19,304,120,000 $1,020,133,000 $2,696,877,000 $285,854,000 $1,218,437,000
2019 $18,344,666,000 $22,588,858,000 $20,806,051,000 $1,370,192,000 $2,809,413,000 $-880,410,000 $134,812,000
2018 $17,920,588,000 $25,067,279,000 $21,837,888,000 $2,431,632,000 $2,393,952,000 $-908,177,000 $455,706,000
2017 $15,841,258,000 $20,252,393,000 $18,502,436,000 $1,443,733,000 $1,051,263,000 $-1,238,231,000 $-1,096,857,000