Recent Annual Filings for UE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,311,540,000 $444,966,000 $367,138,000 $75,141,000 $153,177,000 $-2,088,000 $-83,608,000
2023 $3,279,809,000 $416,922,000 $139,246,000 $259,697,000 $163,015,000 $161,000 $45,474,000
2022 $2,977,432,000 $397,938,000 $347,696,000 $47,995,000 $139,618,000 $-78,767,000 $-91,062,000
2021 $2,985,116,000 $425,082,000 $316,128,000 $107,815,000 $135,273,000 $-23,530,000 $-199,417,000
2020 $2,939,560,000 $330,095,000 $271,341,000 $97,750,000 $112,822,000 $-80,245,000 $-65,883,000
2019 $2,846,358,000 $387,649,000 $270,165,000 $116,197,000 $156,400,000 $-126,265,000 $27,614,000
2018 $2,798,994,000 $414,160,000 $293,678,000 $116,963,000 $137,040,000 $-115,556,000 $-43,319,000
2017 $2,820,808,000 $407,042,000 $334,382,000 $72,938,000 $157,898,000 $498,489,000 $360,655,000