Recent Annual Filings for NTRA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,660,735,000 $1,696,911,000 $1,919,205,000 $-187,685,000 $135,664,000 $30,204,000 $303,492,000
2023 $1,441,699,000 $1,082,571,000 $1,528,816,000 $-421,524,000 $-246,955,000 $254,461,000 $176,004,000
2022 $1,394,474,000 $820,222,000 $1,361,262,000 $-561,874,000 $-431,501,000 $482,640,000 $381,477,000
2021 $1,236,487,000 $625,486,000 $1,093,660,000 $-478,262,000 $-335,236,000 $576,188,000 $35,759,000
2020 $932,153,000 $391,005,000 $607,282,000 $-226,403,000 $-182,512,000 $500,847,000 $-13,126,000
2019 $582,656,000 $302,328,000 $418,615,000 $-123,356,000 $-63,444,000 $340,774,000 $10,977,000
2018 $268,171,000 $257,654,000 $372,282,000 $-127,940,000 $-70,581,000 $113,725,000 $37,983,000
2017 $178,776,000 $210,939,000 $344,966,000 $-136,355,000 $-96,792,000 $80,372,000 $-2,636,000