Recent Annual Filings for XEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $70,035,000,000 $13,441,000,000 $11,055,000,000 $1,962,000,000 $4,641,000,000 $2,837,000,000 $50,000,000
2023 $64,079,000,000 $14,206,000,000 $11,725,000,000 $1,770,000,000 $5,327,000,000 $617,000,000 $18,000,000
2022 $61,188,000,000 $15,310,000,000 $12,882,000,000 $1,766,000,000 $3,932,000,000 $666,000,000 $-55,000,000
2021 $57,851,000,000 $13,431,000,000 $11,228,000,000 $1,615,000,000 $2,189,000,000 $2,135,000,000 $37,000,000
2020 $53,957,000,000 $11,526,000,000 $9,410,000,000 $1,473,000,000 $2,848,000,000 $1,773,000,000 $-119,000,000
2019 $50,448,000,000 $11,529,000,000 $9,425,000,000 $1,355,000,000 $3,263,000,000 $1,181,000,000 $101,000,000
2018 $45,987,000,000 $11,537,000,000 $9,572,000,000 $1,262,000,000 $3,122,000,000 $928,000,000 $64,000,000
2017 $43,030,000,000 $11,404,000,000 $9,214,000,000 $1,155,000,000 $3,126,000,000 $168,000,000 $-2,000,000