Recent Annual Filings for IVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,635,950,000 $273,974,000 $307,316,000 $10,010,000 $136,876,000 $95,117,000 $-8,542,000
2023 $2,487,331,000 $258,676,000 $289,215,000 $-3,378,000 $129,621,000 $-87,902,000 $-37,999,000
2022 $2,473,034,000 $236,707,000 $184,474,000 $83,276,000 $125,795,000 $111,574,000 $92,908,000
2021 $2,212,415,000 $211,979,000 $217,339,000 $2,767,000 $89,956,000 $-204,171,000 $-178,916,000