Recent Annual Filings for NSIT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $6,286,350,000 $9,175,840,000 $8,797,986,000 $298,499,000 $619,531,000 $-16,712,000 $105,067,000
2022 $5,112,581,000 $10,431,191,000 $10,056,758,000 $248,900,000 $98,106,000 $114,007,000 $59,741,000
2021 $4,689,080,000 $9,436,113,000 $9,143,556,000 $207,706,000 $163,711,000 $-161,385,000 $-24,605,000
2020 $4,310,732,000 $8,340,579,000 $8,112,127,000 $195,350,000 $355,582,000 $-361,791,000 $14,285,000
2019 $4,178,179,000 $7,731,190,000 $7,519,474,000 $162,896,000 $127,876,000 $577,587,000 $-27,996,000
2018 $2,775,947,000 $7,080,136,000 $6,868,234,000 $146,288,000 $292,647,000 $-159,028,000 $36,848,000
2017 $2,685,651,000 $6,703,623,000 $6,544,525,000 $122,518,000 $-305,426,000 $397,121,000 $-97,051,000
2016 $2,219,300,000 $5,485,515,000 $5,346,057,000 $68,627,000 $95,805,000 $-57,907,000 $14,904,000