Recent Annual Filings for NXTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $80,860,000 $-55,428,000 $-40,805,000 $144,000 $14,645,000
2023 $128,038,000 $-61,451,000 $-52,974,000 $154,000 $-13,548,000
2022 $184,161,000 $-75,564,000 $-53,886,000 $200,000 $14,293,000
2021 $242,386,000 $-70,831,000 $-57,244,000 $-3,265,000 $-23,908,000
2020 $306,644,000 $22,378,000 $58,981,000 $-35,824,000 $-44,954,000 $-1,415,000 $-2,846,000
2019 $356,168,000 $6,347,000 $40,084,000 $-33,775,000 $-35,623,000 $243,043,000 $-96,503,000