Recent Annual Filings for NOTV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $781,361,000 $490,739,000 $621,499,000 $-107,803,000 $-6,805,000 $9,675,000 $-14,060,000
2023 $856,530,000 $572,425,000 $696,667,000 $-99,072,000 $27,883,000 $15,872,000 $16,512,000
2022 $962,900,000 $547,656,000 $900,105,000 $-342,762,000 $-5,217,000 $203,151,000 $-137,944,000
2021 $321,856,000 $89,605,000 $83,486,000 $10,895,000 $10,746,000 $198,832,000 $155,518,000