Recent Annual Filings for NRDY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $92,507,000 $190,231,000 $257,258,000 $-67,161,000 $-15,603,000 $22,467,000 $1,000
2023 $124,744,000 $193,399,000 $260,959,000 $-67,595,000 $-7,560,000 $-1,940,000 $-16,407,000
2022 $132,692,000 $162,665,000 $226,554,000 $-64,174,000 $-48,002,000 $-1,000,000 $-54,332,000
2021 $177,145,000 $140,664,000 $171,303,000 $-30,705,000 $-38,891,000 $159,250,000 $115,197,000