Recent Annual Filings for IPI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $594,520,000 $29,082,000 $48,940,000 $-212,845,000 $72,495,000 $-5,717,000 $37,247,000
2023 $768,474,000 $36,846,000 $80,815,000 $-35,673,000 $43,229,000 $1,892,000 $-14,433,000
2022 $794,203,000 $141,408,000 $45,968,000 $72,220,000 $88,821,000 $-27,704,000 $-18,062,000
2021 $766,895,000 $55,764,000 $23,492,000 $249,834,000 $79,067,000 $-47,282,000 $16,962,000
2020 $550,188,000 $10,530,000 $33,774,000 $-27,154,000 $31,145,000 $-17,043,000 $-1,055,000
2019 $578,439,000 $43,478,000 $27,118,000 $13,631,000 $49,381,000 $18,795,000 $-12,465,000
2018 $525,231,000 $38,271,000 $22,777,000 $11,783,000 $64,237,000 $-15,301,000 $32,155,000
2017 $511,054,000 $157,607,000 $183,300,000 $-22,910,000 $17,215,000 $-12,759,000 $-3,396,000