Recent Annual Filings for NSSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $207,752,000 $188,820,000 $132,434,000 $49,818,000 $45,368,000 $-12,831,000 $29,386,000
2023 $166,654,000 $169,997,000 $138,769,000 $27,127,000 $24,700,000 $-2,213,000 $-5,775,000
2022 $148,576,000 $143,593,000 $121,747,000 $19,599,000 $8,332,000 $155,000 $6,924,000
2021 $123,293,000 $114,035,000 $96,705,000 $14,901,000 $22,987,000 $-16,558,000
2020 $105,838,000 $101,359,000 $90,555,000 $8,520,000 $10,305,000 $1,530,000 $10,220,000
2019 $85,908,000 $102,932,000 $89,487,000 $12,223,000 $8,653,000 $-3,945,000 $2,720,000
2018 $73,269,000 $91,746,000 $83,413,000 $7,649,000 $7,865,000 $-4,731,000 $1,854,000
2017 $70,862,000 $87,374,000 $81,079,000 $5,599,000 $2,448,000 $-1,385,000 $-351,000