Recent Annual Filings for ITGR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,077,971,000 $1,716,596,000 $1,569,033,000 $85,630,000 $205,205,000 $13,321,000 $22,869,000
2023 $2,942,653,000 $1,596,673,000 $1,489,379,000 $105,544,000 $180,213,000 $-18,014,000 $-598,000
2022 $2,794,386,000 $1,376,096,000 $1,300,138,000 $44,516,000 $116,381,000 $92,476,000 $6,387,000
2021 $2,582,215,000 $1,221,079,000 $1,120,016,000 $71,306,000 $156,666,000 $81,986,000 $-31,321,000
2020 $2,371,857,000 $1,073,442,000 $987,235,000 $109,962,000 $181,341,000 $-88,578,000 $35,671,000
2019 $2,353,093,000 $1,258,094,000 $1,152,901,000 $83,320,000 $165,358,000 $-117,926,000 $-12,034,000
2018 $2,326,681,000 $1,215,012,000 $1,153,896,000 $148,357,000 $167,299,000 $-725,080,000 $-18,527,000
2017 $2,848,345,000 $1,461,921,000 $1,440,094,000 $134,858,000 $149,357,000 $-111,669,000 $-8,020,000