Recent Annual Filings for INFA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,279,532,000 $1,640,018,000 $1,512,970,000 $-35,082,000 $409,850,000 $-146,214,000 $180,017,000
2023 $5,202,082,000 $1,595,160,000 $1,561,597,000 $-99,982,000 $266,347,000 $21,368,000 $234,564,000
2022 $4,970,899,000 $1,505,118,000 $1,479,515,000 $-118,497,000 $200,057,000 $38,801,000 $39,783,000
2021 $4,986,263,000 $1,444,055,000 $1,384,149,000 $-126,073,000 $228,683,000 $-86,367,000 $109,875,000
2014 $1,829,586,000 $1,047,954,000 $877,661,000 $85,510,000 $233,191,000 $-90,315,000 $70,713,000
2013 $1,723,021,000 $948,171,000 $807,449,000 $91,213,000 $201,150,000 $-23,781,000 $107,691,000
2012 $1,512,217,000 $811,571,000 $673,804,000 $97,954,000 $200,501,000 $-37,784,000 $-126,708,000
2011 $1,380,748,000 $783,779,000 $617,151,000 $110,223,000 $174,475,000 $6,965,000 $107,936,000