Recent Annual Filings for NYC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $507,066,000 $61,294,000 $182,509,000 $-140,997,000 $-3,999,000 $-49,731,000 $6,127,000
2023 $694,172,000 $62,710,000 $149,812,000 $-107,155,000 $-7,405,000 $4,025,000 $-3,309,000
2022 $790,455,000 $64,005,000 $90,950,000 $-42,706,000 $-486,000 $-6,270,000 $-12,311,000
2021 $823,051,000 $70,219,000 $90,605,000 $-37,615,000 $-7,916,000 $-275,000 $-11,566,000
2020 $861,846,000 $62,895,000 $85,504,000 $-43,039,000 $-13,578,000 $-970,000 $-18,303,000