Recent Annual Filings for NXRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,907,420,000 $259,701,000 $230,387,000 $-28,151,000 $73,573,000 $-195,554,000 $8,638,000
2023 $2,107,645,000 $277,526,000 $232,274,000 $12,020,000 $96,581,000 $-155,024,000 $-6,520,000
2022 $2,225,337,000 $263,952,000 $232,383,000 $90,624,000 $79,096,000 $46,310,000 $-36,897,000
2021 $2,063,467,000 $219,240,000 $201,032,000 $70,179,000 $73,268,000 $194,319,000 $31,681,000
2020 $1,829,214,000 $204,800,000 $191,236,000 $-2,811,000 $57,226,000 $-82,896,000 $-14,167,000
2019 $1,865,989,000 $181,066,000 $166,157,000 $84,813,000 $51,366,000 $529,816,000 $28,053,000
2018 $1,161,210,000 $146,597,000 $129,805,000 $317,000 $41,743,000 $95,092,000 $-119,000
2017 $1,055,375,000 $144,235,000 $130,946,000 $60,927,000 $37,506,000 $-51,843,000 $-12,013,000