Recent Annual Filings for NTWK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $64,186,442 $61,393,091 $58,169,644 $723,413 $2,909,388 $239,551 $2,857,401
2023 $58,379,410 $52,393,215 $55,611,128 $-11,855,819 $2,009,571 $-718,992 $-108,652
2022 $72,608,632 $57,247,979 $55,158,238 $-8,345,760 $3,060,622 $-1,378,721 $-578,246
2021 $86,606,261 $54,920,615 $51,632,366 $3,994,823 $15,725,923 $-1,165,565 $12,041,808
2020 $88,473,089 $56,372,319 $54,039,228 $-22,960 $3,972,426 $1,700,293 $3,617,829
2019 $87,497,019 $67,819,183 $54,743,859 $-155,536 $4,933,210 $17,167 $-4,722,489
2018 $99,774,281 $60,930,258 $52,907,253 $-6,311,501 $15,714,322 $-1,016,766 $7,915,899
2017 $99,677,330 $65,366,268 $66,170,753 $655,924 $454,365 $4,377,249 $2,615,427