Recent Annual Filings for INBX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $180,767,000 $200,000 $-1,687,374,000 $1,687,572,000 $-194,409,000 $71,678,000 $-125,328,000
2023 $307,893,000 $1,800,000 $241,524,000 $-241,361,000 $-193,309,000 $201,961,000 $4,059,000
2022 $290,875,000 $2,192,000 $147,415,000 $-145,226,000 $-115,301,000 $258,551,000 $142,564,000
2021 $150,450,000 $7,231,000 $88,997,000 $-81,768,000 $-80,323,000 $83,769,000 $2,637,000
2020 $143,740,000 $12,888,000 $88,522,000 $-76,124,000 $-47,968,000 $166,456,000 $117,124,000