Recent Annual Filings for INSG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $99,999,000 $191,244,000 $204,924,000 $10,117,000 $33,519,000 $-38,781,000 $37,187,000
2023 $121,797,000 $195,688,000 $240,988,000 $-45,183,000 $7,165,000 $2,211,000 $376,000
2022 $159,017,000 $245,323,000 $313,757,000 $-65,767,000 $-33,289,000 $5,427,000 $-42,669,000
2021 $215,843,000 $262,399,000 $310,119,000 $-49,470,000 $-25,212,000 $29,921,000 $9,797,000
2020 $227,394,000 $313,832,000 $424,270,000 $-114,279,000 $20,050,000 $42,081,000 $27,941,000
2019 $161,373,000 $219,496,000 $259,070,000 $-39,112,000 $-17,999,000 $27,469,000 $-19,002,000
2018 $162,256,000 $202,463,000 $209,791,000 $-17,624,000 $-1,765,000 $17,667,000 $9,817,000
2017 $158,207,000 $219,297,000 $264,923,000 $-39,827,000 $-14,637,000 $30,366,000 $11,304,000