Recent Annual Filings for UP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,158,011,000 $792,104,000 $1,050,895,000 $-341,593,000 $-77,888,000 $78,662,000 $-46,357,000
2023 $1,316,060,000 $1,253,317,000 $1,696,874,000 $-488,038,000 $-665,285,000 $300,954,000 $-327,328,000
2022 $1,923,225,000 $1,579,760,000 $2,139,767,000 $-565,600,000 $-230,689,000 $244,786,000 $-166,569,000
2021 $1,981,064,000 $1,194,259,000 $-197,230,000 $126,490,000 $374,026,000 $461,846,000