Recent Annual Filings for NEXT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,404,059,000 $277,447,000 $-95,585,000 $2,768,074,000 $98,284,000
2023 $3,323,801,000 $-221,640,000 $-73,620,000 $2,058,109,000 $231,689,000
2022 $312,430,000 $-60,071,000 $-40,076,000 $118,201,000 $37,237,000
2021 $222,105,000 $-22,039,000 $-17,960,000 $39,438,000 $2,944,000
2020 $201,668,000 $-14,329,000 $-26,253,000 $14,604,000 $6,872,000
2019 $221,195,000 $-35,871,000 $-40,700,000 $69,960,000 $12,567,000
2018 $169,002,000 $-41,960,000 $-23,285,000 $76,912,000 $-32,534,000
2017 $116,091,000 $-35,339,000 $-12,830,000 $24,147,000 $23,179,000