Recent Annual Filings for NUVB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $540,626,000 $7,873,000 $575,812,000 $-567,547,000 $-130,413,000 $331,000 $-6,926,000
2023 $621,484,000 $-70,095,000 $-67,999,000 $628,000 $-58,450,000
2022 $672,141,000 $-108,540,000 $-96,108,000 $1,327,000 $-31,324,000
2021 $776,151,000 $-89,590,000 $-68,190,000 $625,527,000 $102,668,000