Recent Annual Filings for NVR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,601,757,000 $9,518,202,000 $1,591,611,000 $1,497,993,000 $-832,967,000 $640,926,000
2022 $5,660,973,000 $10,526,434,000 $1,725,575,000 $1,870,101,000 $-1,905,136,000 $-62,466,000
2021 $5,834,475,000 $8,951,025,000 $1,236,719,000 $1,242,393,000 $-1,397,012,000 $-172,798,000
2020 $5,777,141,000 $7,536,923,000 $901,248,000 $925,269,000 $727,642,000 $1,648,978,000
2019 $3,809,815,000 $7,388,664,000 $878,539,000 $866,535,000 $-424,695,000 $428,556,000
2018 $3,165,933,000 $7,163,674,000 $797,197,000 $723,126,000 $-672,258,000 $42,691,000
2017 $2,989,279,000 $6,305,840,000 $537,521,000 $568,904,000 $-281,641,000 $271,244,000
2016 $2,643,943,000 $5,822,544,000 $425,262,000 $384,465,000 $-403,734,000 $-28,697,000