Recent Annual Filings for NABL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,338,847,000 $466,147,000 $411,877,000 $5,454,000 $79,437,000 $-22,595,000 $-67,852,000
2023 $1,162,791,000 $421,880,000 $377,554,000 $35,636,000 $90,089,000 $-15,173,000 $54,201,000
2022 $1,078,857,000 $371,769,000 $341,344,000 $-6,161,000 $71,413,000 $-10,402,000 $32,111,000
2021 $1,055,699,000 $346,456,000 $334,864,000 $-33,825,000 $45,341,000 $-42,322,000 $-33,054,000