Recent Annual Filings for INVE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $163,225,000 $26,628,000 $52,449,000 $74,587,000 $-15,433,000 $-13,634,000 $112,426,000
2023 $109,723,000 $116,383,000 $121,708,000 $-5,261,000 $1,157,000 $10,073,000 $7,078,000
2022 $102,765,000 $112,915,000 $113,206,000 $-1,240,000 $-7,807,000 $-1,039,000 $-12,718,000
2021 $96,663,000 $103,769,000 $102,121,000 $991,000 $1,228,000 $19,341,000 $19,093,000
2020 $78,677,000 $86,920,000 $91,952,000 $-4,552,000 $-1,766,000 $4,853,000 $1,523,000
2019 $74,318,000 $83,755,000 $84,580,000 $-1,335,000 $427,000 $-227,000 $-1,284,000
2018 $66,306,000 $78,142,000 $82,690,000 $-5,166,000 $-5,196,000 $808,000 $-8,186,000
2017 $51,362,000 $60,219,000 $68,585,000 $-7,514,000 $-7,832,000 $18,077,000 $9,936,000