Recent Annual Filings for NVEC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $64,275,862 $25,874,694 $7,835,957 $15,773,609 $14,310,418 $-19,225,522 $-2,246,986
2024 $66,780,033 $29,804,179 $9,336,594 $17,560,920 $18,247,411 $-19,213,841 $8,613,654
2023 $69,255,170 $38,253,592 $11,160,755 $21,798,720 $19,091,498 $-19,344,004 $-8,779,614
2022 $67,467,492 $26,986,970 $9,487,157 $13,088,262 $12,503,679 $-19,496,930 $22,170
2021 $72,500,739 $21,366,246 $7,124,494 $12,278,980 $13,364,832 $-19,427,959 $2,361,746
2020 $79,498,150 $25,412,163 $8,110,260 $15,125,890 $15,895,773 $-19,959,112 $1,188,290
2019 $83,615,887 $26,472,337 $8,762,498 $15,401,211 $14,218,994 $-19,156,100 $2,122,222
2018 $87,431,465 $29,863,881 $9,855,057 $13,035,335 $15,151,928 $-19,314,000 $-3,444,282