Recent Annual Filings for INNV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $547,661,000 $763,855,000 $787,035,000 $-23,221,000 $-36,898,000 $-7,034,000 $-70,305,000
2023 $567,358,000 $688,087,000 $737,482,000 $-43,552,000 $20,236,000 $-7,896,000 $-57,181,000
2022 $555,596,000 $698,640,000 $703,046,000 $-7,960,000 $27,302,000 $-6,318,000 $-19,254,000
2021 $531,752,000 $637,800,000 $650,137,000 $-44,740,000 $-7,548,000 $116,224,000 $89,135,000