Recent Annual Filings for IAS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,151,571,000 $530,101,000 $469,715,000 $35,045,000 $117,898,000 $-116,378,000 $-39,955,000
2023 $1,191,724,000 $474,369,000 $457,277,000 $9,221,000 $131,623,000 $-58,851,000 $37,619,000
2022 $1,168,683,000 $408,348,000 $393,191,000 $12,789,000 $72,467,000 $-37,471,000 $13,593,000
2021 $1,129,537,000 $323,513,000 $356,523,000 $-57,275,000 $63,595,000 $160,190,000 $21,357,000