Recent Annual Filings for INSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $808,383,000 $802,804,000 $744,351,000 $53,245,000 $130,246,000 $-52,393,000 $-35,387,000
2023 $676,811,000 $624,799,000 $644,705,000 $-20,267,000 $24,653,000 $13,950,000 $-256,055,000
2022 $564,876,000 $407,856,000 $452,124,000 $-44,912,000 $11,569,000 $235,077,000 $227,125,000
2021 $295,084,000 $233,394,000 $275,364,000 $-42,126,000 $-20,119,000 $14,948,000 $23,949,000
2020 $281,189,000 $115,381,000 $172,469,000 $-57,276,000 $-53,045,000 $134,065,000 $167,658,000
2019 $181,253,000 $82,050,000 $115,253,000 $-33,089,000 $-32,846,000 $1,964,000 $-74,428,000
2018 $200,080,000 $50,593,000 $72,421,000 $-21,880,000 $-18,694,000 $190,383,000 $88,333,000
2011 $395,139,000 $228,813,000 $208,580,000 $21,628,000 $19,107,000 $23,256,000 $-73,748,000