Recent Annual Filings for NRC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $132,539,000 $143,060,000 $107,866,000 $24,783,000 $34,625,000 $-16,764,000 $-2,420,000
2023 $122,437,000 $148,580,000 $108,535,000 $30,971,000 $38,113,000 $-40,707,000 $-18,372,000
2022 $130,461,000 $151,568,000 $105,025,000 $34,175,000 $36,265,000 $-55,583,000 $-29,153,000
2021 $157,540,000 $147,954,000 $97,684,000 $37,490,000 $46,344,000 $-18,162,000 $19,671,000
2020 $133,423,000 $133,277,000 $91,133,000 $37,070,000 $40,636,000 $-15,503,000 $21,173,000
2019 $110,685,000 $127,982,000 $84,947,000 $33,113,000 $40,917,000 $-36,346,000 $526,000
2018 $108,032,000 $119,686,000 $84,977,000 $28,766,000 $39,848,000 $-54,497,000 $-21,742,000