Recent Annual Filings for INOD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $113,449,000 $170,461,000 $145,976,000 $27,826,000 $35,015,000 $6,058,000 $33,077,000
2023 $59,431,000 $86,775,000 $86,636,000 $-402,000 $5,903,000 $2,872,000 $4,014,000
2022 $48,042,000 $79,001,000 $89,484,000 $-11,921,000 $-1,216,000 $-307,000 $-9,110,000
2021 $59,217,000 $69,755,000 $71,406,000 $-3,059,000 $5,151,000 $773,000 $1,329,000
2020 $57,254,000 $58,240,000 $57,195,000 $626,000 $5,660,000 $2,312,000 $6,699,000
2019 $49,746,000 $55,858,000 $56,386,000 $-2,524,000 $4,853,000 $-2,870,000 $5,000
2018 $46,051,000 $57,418,000 $55,599,000 $-850,000 $3,604,000 $-2,027,000 $-538,000
2017 $47,871,000 $60,929,000 $66,026,000 $-4,189,000 $738,000 $-284,000 $-2,765,000