Recent Annual Filings for NWN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,234,316,000 $1,152,994,000 $961,852,000 $79,020,000 $200,282,000 $227,062,000 $-1,642,000
2023 $4,867,092,000 $1,197,475,000 $1,012,534,000 $93,104,000 $279,949,000 $64,208,000 $8,660,000
2022 $4,748,326,000 $1,037,353,000 $921,920,000 $91,422,000 $147,672,000 $301,632,000 $13,844,000
2021 $4,064,604,000 $860,400,000 $754,328,000 $80,164,000 $160,353,000 $131,436,000 $-8,334,000
2020 $3,756,379,000 $773,679,000 $682,324,000 $74,612,000 $143,020,000 $171,777,000 $20,520,000
2019 $3,428,454,000 $746,372,000 $668,419,000 $59,556,000 $185,298,000 $115,498,000 $-2,985,000
2018 $3,242,662,000 $706,100,000 $614,598,000 $65,819,000 $168,771,000 $57,843,000 $9,161,000
2017 $3,039,746,000 $762,173,000 $848,553,000 $-57,110,000 $206,704,000 $7,419,000 $-49,000