Recent Annual Filings for IGMS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $265,712,000 $2,679,000 $211,259,000 $-195,787,000 $-152,996,000 $2,388,000 $-86,450,000
2023 $423,411,000 $2,130,000 $265,591,000 $-245,564,000 $-192,231,000 $115,068,000 $-8,808,000
2022 $513,499,000 $1,069,000 $229,025,000 $-221,737,000 $-5,853,000 $219,382,000 $-12,115,000
2021 $298,127,000 $-165,256,000 $-124,339,000 $2,476,000 $-107,045,000
2020 $408,632,000 $-81,372,000 $-67,303,000 $214,781,000 $205,189,000
2019 $261,350,000 $-43,090,000 $-45,116,000 $282,258,000 $33,904,000