Recent Annual Filings for NTRB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $7,469,955 $2,139,537 $12,424,380 $-10,482,617 $-4,626,564 $8,537,384 $3,818,777
2024 $7,517,154 $2,085,314 $6,957,240 $-5,485,314 $-3,527,509 $2,086,772 $-1,492,498
2023 $9,456,377 $2,079,609 $6,554,794 $-4,483,474 $-2,987,198 $160,074 $-2,906,428
2022 $12,739,660 $1,422,154 $7,532,887 $-6,372,715 $-2,809,223 $7,630,693 $4,739,875