Recent Annual Filings for NIC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,796,795,000 $438,365,000 $283,236,000 $128,664,000 $133,749,000 $199,304,000 $44,616,000
2023 $8,468,678,000 $382,862,000 $296,230,000 $65,813,000 $107,974,000 $-362,728,000 $336,708,000
2022 $8,763,969,000 $273,918,000 $148,181,000 $33,688,000 $117,396,000 $-41,601,000 $-440,569,000