Recent Annual Filings for NEO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,638,038,000 $660,566,000 $741,241,000 $-77,258,000 $7,023,000 $4,646,000 $24,524,000
2023 $1,681,229,000 $591,643,000 $688,740,000 $-85,743,000 $-1,953,000 $4,554,000 $79,308,000
2022 $1,740,034,000 $509,728,000 $669,070,000 $-147,511,000 $-65,993,000 $11,829,000 $-53,647,000
2021 $1,869,778,000 $484,329,000 $499,404,000 $-8,995,000 $-26,723,000 $725,285,000 $66,195,000
2020 $988,331,000 $444,448,000 $458,504,000 $5,800,000 $1,460,000 $235,597,000 $77,616,000
2019 $709,506,000 $408,830,000 $405,185,000 $6,967,000 $23,369,000 $159,466,000 $163,205,000
2018 $505,015,000 $276,741,000 $272,917,000 $1,787,000 $44,786,000 $91,959,000 $-3,010,000
2017 $343,340,000 $258,611,000 $262,092,000 $-572,000 $18,037,000 $-4,095,000 $296,000