Recent Annual Filings for INVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,301,060,000 $358,711,000 $321,323,000 $23,392,000 $188,690,000 $-13,453,000 $111,451,000
2023 $1,243,507,000 $310,463,000 $116,365,000 $179,722,000 $141,064,000 $-171,839,000 $-97,536,000
2022 $1,231,497,000 $331,339,000 $44,390,000 $220,262,000 $201,726,000 $-55,568,000 $89,524,000
2021 $926,395,000 $391,866,000 $-53,410,000 $368,837,000 $363,813,000 $-452,497,000 $-44,962,000
2020 $999,570,000 $336,794,000 $-17,451,000 $293,787,000 $313,113,000 $-29,785,000 $-31,609,000
2019 $724,826,000 $261,016,000 $28,121,000 $191,023,000 $257,458,000 $-23,776,000 $215,679,000
2018 $548,193,000 $261,004,000 $50,749,000 $406,343,000 $223,531,000 $-237,969,000 $-10,919,000
2017 $367,337,000 $217,217,000 $33,613,000 $134,253,000 $141,749,000 $-163,193,000 $-44,680,000