Recent Annual Filings for NSPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $46,807,000 $7,009,000 $38,955,000 $-32,005,000 $-21,868,000 $18,452,000 $9,225,000
2023 $47,643,000 $6,205,000 $26,056,000 $-19,916,000 $-16,376,000 $37,534,000 $5,066,000
2022 $24,653,000 $5,171,000 $23,634,000 $-18,491,000 $-15,542,000 $-140,000 $-7,241,000
2021 $39,712,000 $4,495,000 $19,368,000 $-14,918,000 $-13,210,000 $35,034,000 $-633,000
2020 $17,777,000 $2,485,000 $13,025,000 $-10,544,000 $-9,081,000 $16,395,000 $7,127,000
2019 $9,880,000 $3,721,000 $13,737,000 $-10,040,000 $-9,810,000 $6,335,000 $-3,862,000
2018 $12,288,000 $3,601,000 $10,841,000 $-7,696,000 $-7,606,000 $13,370,000 $5,720,000
2017 $6,107,000 $2,761,000 $11,172,000 $-13,028,000 $-8,131,000 $4,633,000 $-3,806,000