Recent Annual Filings for NGVC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $669,185,000 $1,140,568,000 $1,112,198,000 $23,243,000 $64,606,000 $-20,353,000 $6,303,000
2022 $663,108,000 $1,089,625,000 $1,061,841,000 $21,365,000 $39,693,000 $-20,189,000 $-11,639,000
2021 $655,079,000 $1,055,516,000 $1,029,460,000 $20,581,000 $53,880,000 $-30,981,000 $-4,856,000
2020 $681,792,000 $1,036,842,000 $1,011,141,000 $20,009,000 $66,503,000 $-14,626,000 $22,320,000
2019 $327,114,000 $903,582,000 $891,768,000 $9,416,000 $37,382,000 $-8,701,000 $-3,184,000
2018 $307,083,000 $849,042,000 $838,549,000 $12,661,000 $42,863,000 $-16,443,000 $2,877,000
2017 $299,991,000 $769,030,000 $758,725,000 $6,891,000 $40,849,000 $154,000 $2,504,000
2016 $282,246,000 $705,499,000 $688,164,000 $11,471,000 $28,827,000 $26,015,000 $1,102,000