Recent Annual Filings for UNIT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,282,145,000 $1,166,927,000 $1,091,050,000 $92,798,000 $366,695,000 $27,084,000 $121,583,000
2023 $5,025,129,000 $1,149,831,000 $1,302,716,000 $-81,749,000 $353,129,000 $76,643,000 $18,461,000
2022 $4,851,229,000 $1,128,847,000 $1,156,705,000 $1,121,000 $460,115,000 $-83,196,000 $-15,100,000
2021 $4,809,243,000 $1,100,522,000 $982,795,000 $136,062,000 $499,157,000 $-196,567,000 $-18,631,000
2020 $4,731,818,000 $1,067,041,000 $1,801,154,000 $-715,693,000 $157,233,000 $-223,906,000 $-65,279,000
2019 $5,017,000,000 $1,057,611,000 $1,042,040,000 $-43,767,000 $616,982,000 $32,629,000 $104,787,000
2018 $4,592,937,000 $1,017,634,000 $1,006,510,000 $39,356,000 $472,818,000 $-13,841,000 $-21,739,000
2017 $4,330,082,000 $916,032,000 $963,709,000 $5,727,000 $405,260,000 $501,967,000 $-111,989,000