Recent Annual Filings for INN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,896,230,000 $731,783,000 $657,205,000 $36,507,000 $166,323,000 $-94,234,000 $590,000
2023 $2,939,248,000 $736,127,000 $677,003,000 $-31,000,000 $153,641,000 $-65,723,000 $-14,040,000
2022 $3,022,270,000 $675,695,000 $628,228,000 $33,781,000 $169,615,000 $85,762,000 $-35,136,000
2021 $2,264,902,000 $361,926,000 $395,432,000 $-53,457,000 $66,051,000 $66,241,000 $58,048,000
2020 $2,233,019,000 $234,463,000 $343,857,000 $-163,918,000 $-42,052,000 $41,825,000 $-30,937,000
2019 $2,355,683,000 $549,348,000 $475,360,000 $67,752,000 $148,478,000 $30,963,000 $-2,723,000
2018 $2,222,297,000 $567,270,000 $483,545,000 $88,226,000 $161,651,000 $-92,045,000 $6,549,000
2017 $2,209,874,000 $515,377,000 $431,482,000 $101,958,000 $146,923,000 $370,448,000 $1,851,000