Recent Annual Filings for INTG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $107,811,000 $58,140,000 $70,779,000 $-12,556,000 $6,813,000 $-4,583,000 $-4,180,000
2022 $126,046,000 $47,219,000 $58,865,000 $-10,616,000 $921,000 $10,924,000 $7,957,000
2021 $140,346,000 $28,658,000 $-33,528,000 $10,545,000 $-20,259,000 $-828,000 $-12,894,000
2020 $130,217,000 $58,017,000 $-53,126,000 $-5,089,000 $-3,454,000 $9,056,000 $3,154,000
2019 $130,879,000 $74,753,000 $59,557,000 $2,814,000 $14,269,000 $-4,248,000 $7,621,000
2018 $131,680,000 $71,579,000 $50,014,000 $5,813,000 $11,448,000 $-5,474,000 $5,182,000
2017 $133,209,000 $69,005,000 $56,009,000 $-1,676,000 $6,294,000 $-7,145,000 $-2,533,000
2016 $136,110,000 $72,898,000 $67,300,000 $-9,267,000 $8,972,000 $-5,119,000 $-3,125,000