Recent Annual Filings for NWE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,997,524,000 $1,513,898,000 $1,190,577,000 $225,063,000 $406,741,000 $151,552,000 $3,830,000
2023 $7,600,652,000 $1,422,143,000 $1,121,688,000 $194,323,000 $489,231,000 $84,305,000 $2,724,000
2022 $7,317,783,000 $1,477,837,000 $1,214,758,000 $182,470,000 $307,242,000 $213,318,000 $3,701,000
2021 $6,780,443,000 $1,372,316,000 $1,096,635,000 $186,799,000 $219,978,000 $217,521,000 $1,666,000
2020 $6,389,449,000 $1,198,670,000 $962,466,000 $157,594,000 $352,149,000 $58,681,000 $5,026,000
2019 $5,910,702,000 $1,257,910,000 $981,060,000 $202,406,000 $296,720,000 $16,190,000 $-3,241,000
2018 $5,644,376,000 $1,192,009,000 $925,737,000 $197,941,000 $381,985,000 $-73,804,000 $3,282,000
2017 $5,420,917,000 $1,305,652,000 $1,044,237,000 $163,645,000 $323,608,000 $-44,155,000 $3,394,000