Recent Annual Filings for IRTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $931,449,000 $591,839,000 $704,563,000 $-113,012,000 $3,390,000 $511,381,000 $391,788,000
2023 $433,144,000 $492,681,000 $615,337,000 $-123,122,000 $-50,101,000 $8,820,000 $-42,490,000
2022 $448,222,000 $410,921,000 $526,807,000 $-116,490,000 $-23,012,000 $26,716,000 $-48,730,000
2021 $462,967,000 $322,825,000 $423,819,000 $-101,433,000 $-37,753,000 $-28,577,000 $38,934,000
2020 $511,739,000 $265,166,000 $308,767,000 $-43,901,000 $-13,759,000 $214,316,000 $68,166,000
2019 $306,212,000 $214,552,000 $269,055,000 $-54,470,000 $-21,863,000 $111,576,000 $439,000
2018 $119,710,000 $147,293,000 $195,529,000 $-48,256,000 $-29,068,000 $6,303,000 $11,352,000
2017 $133,123,000 $98,509,000 $125,780,000 $-29,476,000 $-14,911,000 $6,532,000 $-42,972,000