Recent Annual Filings for NTST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,259,346,000 $162,784,000 $144,343,000 $-10,731,000 $90,164,000 $327,102,000 $-15,609,000
2023 $1,946,236,000 $131,905,000 $107,805,000 $-7,932,000 $80,155,000 $331,184,000 $-40,614,000
2022 $1,605,692,000 $96,279,000 $82,776,000 $27,963,000 $50,647,000 $480,654,000 $62,940,000
2021 $1,068,441,000 $55,659,000 $7,207,000 $31,478,000 $313,610,000 $-85,040,000
2020 $725,815,000 $35,227,000 $465,000 $12,749,000 $272,708,000 $-76,676,000