Recent Annual Filings for NRIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $355,598,000 $76,987,000 $220,935,000 $-140,284,000 $-81,365,000 $3,217,000 $-9,847,000
2022 $416,759,000 $38,627,000 $218,987,000 $-184,071,000 $-159,807,000 $117,192,000 $-15,417,000
2021 $476,771,000 $29,750,000 $146,813,000 $-117,889,000 $-84,365,000 $153,882,000 $-38,734,000
2020 $396,343,000 $17,820,000 $81,597,000 $-43,153,000 $-80,000 $339,024,000 $84,540,000