Recent Annual Filings for NCNO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,610,381,000 $540,657,000 $576,217,000 $-33,862,000 $55,199,000 $170,478,000 $3,823,000
2024 $1,340,430,000 $476,543,000 $518,479,000 $-43,211,000 $57,285,000 $-21,113,000 $30,026,000
2023 $1,327,269,000 $408,315,000 $506,088,000 $-101,272,000 $-15,381,000 $36,712,000 $-981,000
2022 $1,301,014,000 $273,865,000 $347,819,000 $-50,689,000 $-19,229,000 $15,922,000 $-283,026,000
2021 $563,401,000 $204,293,000 $244,977,000 $-40,453,000 $9,222,000 $274,121,000 $280,241,000