Recent Annual Filings for NUTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $655,320,393 $479,948,633 $283,687,356 $95,271,921 $23,153,807 $1,090,771 $21,579,356
2023 $398,245,497 $247,646,316 $212,872,145 $-43,423,715 $1,256,452 $-2,269,778 $-12,253,208
2022 $431,751,985 $219,294,306 $205,841,924 $-432,739,618 $50,607,108 $-48,132,730 $-1,863,020