Recent Annual Filings for INDI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $818,876,000 $223,169,000 $358,592,000 $-123,051,000 $-104,385,000 $43,567,000 $-170,201,000
2022 $603,351,000 $110,797,000 $229,925,000 $-63,412,000 $-76,745,000 $192,659,000 $102,415,000
2021 $470,885,000 $48,412,000 $123,204,000 $-119,972,000 $-55,819,000 $340,646,000 $200,766,000