Recent Annual Filings for OKE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $64,069,000,000 $21,698,000,000 $17,588,000,000 $3,049,000,000 $4,888,000,000 $2,119,000,000 $395,000,000
2023 $44,266,000,000 $17,677,000,000 $14,180,000,000 $2,734,000,000 $4,421,000,000 $2,101,000,000 $118,000,000
2022 $24,379,094,000 $22,386,892,000 $20,137,247,000 $2,085,316,000 $2,905,955,000 $-1,692,883,000 $73,836,000
2021 $23,621,613,000 $16,540,309,000 $14,556,105,000 $1,579,804,000 $2,546,272,000 $-2,259,085,000 $-378,105,000
2020 $23,078,754,000 $8,542,242,000 $7,739,926,000 $435,360,000 $1,899,068,000 $874,999,000 $503,538,000
2019 $21,812,121,000 $10,164,367,000 $8,513,376,000 $1,092,816,000 $1,946,779,000 $1,830,962,000 $8,983,000
2018 $18,231,671,000 $12,593,196,000 $11,075,261,000 $1,193,424,000 $2,186,719,000 $-97,049,000 $-25,218,000
2017 $16,845,937,000 $12,173,907,000 $11,133,106,000 $630,653,000 $1,315,412,000 $-959,461,000 $-211,682,000