Recent Annual Filings for NOVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,388,511,000 $949,245,000 $870,179,000 $58,204,000 $158,512,000 $56,943,000 $7,266,000
2023 $1,226,056,000 $881,662,000 $797,914,000 $80,849,000 $120,075,000 $-97,853,000 $2,330,000
2022 $1,241,212,000 $860,903,000 $773,744,000 $54,908,000 $90,779,000 $-60,154,000 $-11,916,000
2021 $1,227,883,000 $706,793,000 $650,621,000 $49,706,000 $94,625,000 $204,753,000 $-7,326,000
2020 $865,179,000 $590,623,000 $542,220,000 $50,393,000 $140,239,000 $-84,357,000 $42,726,000
2019 $869,736,000 $626,099,000 $580,333,000 $45,187,000 $63,248,000 $-3,935,000 $-3,099,000
2018 $719,576,000 $614,337,000 $553,035,000 $46,448,000 $89,647,000 $-60,164,000 $-18,014,000
2017 $726,703,000 $521,290,000 $445,156,000 $72,142,000 $63,378,000 $143,330,000 $31,949,000