Recent Annual Filings for IOT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,024,302,000 $1,249,199,000 $1,399,613,000 $-157,369,000 $131,659,000 $27,101,000 $91,056,000
2024 $1,734,845,000 $937,385,000 $1,220,768,000 $-284,458,000 $-11,815,000 $20,997,000 $-69,028,000
2023 $1,617,008,000 $652,545,000 $896,380,000 $-247,978,000 $-103,021,000 $14,212,000 $-720,544,000
2016 $86,402,000 $2,081,000 $3,454,000 $-1,000
2015 $84,304,000 $1,499,000 $274,000 $-10,240,000 $-5,000
2014 $93,076,000 $1,559,000 $4,580,000 $-2,117,000 $4,000
2013 $5,518 $1,159 $-15,358 $1
2012 $109,506,000 $1,484,000 $3,385,000 $1,000