Recent Annual Filings for IDT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $550,095,000 $1,205,778,000 $1,143,868,000 $67,314,000 $78,191,000 $-17,226,000 $56,633,000
2023 $510,810,000 $1,238,854,000 $1,178,047,000 $38,479,000 $54,140,000 $-15,809,000 $9,261,000
2022 $497,094,000 $1,364,057,000 $1,329,174,000 $27,883,000 $29,407,000 $-15,617,000 $-37,354,000
2021 $512,655,000 $1,446,990,000 $1,381,766,000 $94,118,000 $66,620,000 $-4,523,000 $25,694,000
2020 $404,750,000 $1,345,769,000 $1,328,051,000 $18,866,000 $-29,591,000 $-5,650,000 $-55,977,000
2019 $443,703,000 $1,409,172,000 $1,408,719,000 $411,000 $85,137,000 $7,216,000 $54,002,000
2018 $399,597,000 $1,547,495,000 $1,539,394,000 $4,840,000 $6,894,000 $-26,561,000 $-22,079,000
2017 $518,963,000 $11,042,000 $19,014,000 $6,822,000 $-13,477,000