Recent Annual Filings for NTNX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,143,918,000 $2,148,816,000 $2,250,134,000 $-119,458,000 $672,931,000 $-1,062,629,000 $139,891,000
2023 $2,526,915,000 $1,862,895,000 $2,096,480,000 $-253,655,000 $272,403,000 $-112,709,000 $109,909,000
2022 $2,365,749,000 $1,580,796,000 $2,359,070,000 $-803,606,000 $67,543,000 $103,635,000 $116,989,000
2021 $2,277,496,000 $1,394,364,000 $2,410,137,000 $-1,036,298,000 $-99,810,000 $663,845,000 $-33,118,000
2020 $1,768,547,000 $1,307,682,000 $2,162,903,000 $-871,522,000 $-159,885,000 $57,797,000 $-77,529,000
2019 $1,786,042,000 $1,236,143,000 $1,849,203,000 $-619,508,000 $42,168,000 $67,104,000 $92,422,000
2018 $1,599,880,000 $1,155,457,000 $1,445,171,000 $-298,057,000 $92,555,000 $578,616,000 $167,616,000
2017 $726,073,000 $766,869,000 $1,220,197,000 $-458,105,000 $13,822,000 $201,422,000 $39,150,000