Recent Annual Filings for IVR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,688,034,000 $286,546,000 $226,664,000 $59,357,000 $183,160,000 $326,514,000 $12,244,000
2023 $5,284,209,000 $277,929,000 $293,788,000 $-25,922,000 $237,787,000 $218,872,000 $-80,144,000
2022 $5,097,395,000 $194,513,000 $597,437,000 $-429,449,000 $196,083,000 $-2,918,427,000 $-298,271,000
2021 $8,443,841,000 $169,202,000 $259,202,000 $-111,319,000 $152,292,000 $-88,572,000 $184,468,000
2020 $8,632,851,000 $280,166,000 $1,954,518,000 $-1,904,710,000 $170,459,000 $-11,621,886,000 $103,082,000
2019 $22,346,545,000 $778,367,000 $414,266,000 $432,251,000 $343,359,000 $4,134,757,000 $153,885,000
2018 $17,813,505,000 $304,148,000 $374,684,000 $-114,084,000 $304,264,000 $-879,199,000 $46,616,000
2017 $18,657,256,000 $348,464,000 $-4,593,000 $319,999,000 $317,954,000 $2,729,904,000 $-73,407,000