Recent Annual Filings for AYRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,738,718 $63,777 $1,819,256 $-1,755,479 $-13,315,402 $-10,860,809 $-27,240,710
2023 $52,863,778 $498,917 $34,659,372 $-34,160,455 $-26,181,465 $17,287,851
2022 $54,990,084 $2,990,497 $25,925,850 $-22,935,353 $-18,728,643 $30,063,904
2021 $78,127,764 $2,683,597 $35,812,467 $-33,079,414 $-26,631,485 $59,855,217 $32,623,369
2020 $41,961,430 $1,604,069 $11,710,317 $-10,763,446 $-10,019,344 $43,372,599 $35,895,275