Recent Annual Filings for NVTS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $389,978,000 $83,302,000 $172,148,000 $-84,599,000 $-58,823,000 $3,495,000 $-64,599,000
2023 $485,546,000 $79,456,000 $225,924,000 $-145,951,000 $-40,098,000 $88,382,000 $42,502,000
2022 $425,262,000 $37,943,000 $-12,132,000 $72,882,000 $-44,497,000 $-5,810,000 $-157,915,000
2021 $295,601,000 $23,736,000 $176,374,000 $-152,686,000 $-41,700,000 $274,549,000 $229,383,000