Recent Annual Filings for NAII

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $162,342,000 $113,796,000 $123,260,000 $-7,156,000 $-1,497,000 $2,891,000 $-1,623,000
2023 $134,152,000 $154,015,000 $150,460,000 $740,000 $7,019,000 $-1,781,000 $-8,229,000
2022 $146,003,000 $170,966,000 $157,307,000 $12,972,000 $11,866,000 $4,292,000 $-10,300,000
2021 $120,281,000 $178,520,000 $166,395,000 $11,390,000 $20,806,000 $-14,112,000 $1,655,000
2020 $120,203,000 $118,876,000 $120,614,000 $-2,992,000 $3,691,000 $6,253,000 $5,438,000
2019 $93,490,000 $138,290,000 $130,337,000 $7,411,000 $6,564,000 $-1,329,000 $1,427,000
2018 $85,207,000 $132,437,000 $121,824,000 $5,378,000 $1,833,000 $-510,000 $-4,230,000
2017 $72,611,000 $121,946,000 $111,835,000 $7,010,000 $14,137,000 $-712,000 $8,096,000