Recent Annual Filings for NVCR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $1,146,129,000 $509,338,000 $701,078,000 $-210,079,000 $-73,336,000 $15,787,000 $126,730,000
2022 $1,191,648,000 $537,840,000 $619,686,000 $-91,798,000 $30,788,000 $15,491,000 $-93,775,000
2021 $1,139,495,000 $535,031,000 $587,106,000 $-57,688,000 $82,756,000 $25,702,000 $-36,564,000
2020 $1,051,983,000 $494,366,000 $476,264,000 $18,743,000 $99,148,000 $440,209,000 $66,757,000
2019 $479,448,000 $351,318,000 $360,142,000 $-8,597,000 $26,620,000 $61,681,000 $36,660,000
2018 $339,793,000 $248,069,000 $294,011,000 $-63,616,000 $-1,865,000 $69,369,000 $62,038,000
2017 $265,298,000 $177,026,000 $225,523,000 $-61,122,000 $-33,134,000 $5,168,000 $-21,188,000
2016 $282,081,000 $82,888,000 $204,352,000 $-132,223,000 $-107,592,000 $75,124,000 $-19,643,000