Recent Annual Filings for NOVA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $11,340,971,000 $720,653,000 $964,088,000 $-502,426,000 $-237,562,000 $2,731,051,000 $-51,172,000
2022 $8,336,892,000 $557,690,000 $639,194,000 $-130,276,000 $-333,426,000 $2,468,705,000 $153,677,000
2021 $5,504,234,000 $241,752,000 $296,642,000 $-147,510,000 $-209,230,000 $1,464,450,000 $14,004,000
2020 $3,587,582,000 $160,820,000 $196,598,000 $-307,818,000 $-131,466,000 $1,188,587,000 $227,602,000
2019 $2,487,067,000 $131,556,000 $153,826,000 $-133,434,000 $-170,262,000 $801,823,000 $63,245,000