Recent Annual Filings for NTCT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $2,186,578,000 $822,679,000 $1,188,473,000 $-366,421,000 $217,670,000 $-142,011,000 $67,741,000
2024 $2,595,302,000 $829,455,000 $973,965,000 $-149,900,000 $58,811,000 $-69,352,000 $2,880,000
2023 $2,820,560,000 $914,530,000 $846,115,000 $65,245,000 $156,650,000 $-419,430,000 $-249,367,000
2022 $3,194,709,000 $855,575,000 $812,683,000 $37,955,000 $296,013,000 $-54,165,000 $168,985,000
2021 $3,085,038,000 $831,282,000 $808,978,000 $20,572,000 $213,921,000 $-118,307,000 $126,939,000
2020 $3,120,503,000 $891,820,000 $889,896,000 $-3,275,000 $225,023,000 $-286,870,000 $-69,583,000
2019 $3,269,994,000 $909,918,000 $1,002,830,000 $-78,858,000 $149,838,000 $-79,285,000 $39,089,000
2018 $3,368,608,000 $986,787,000 $1,005,446,000 $86,179,000 $222,454,000 $-220,962,000 $65,005,000