Recent Annual Filings for BTCS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $38,245,389 $4,073,518 $9,874,805 $-1,271,174 $-3,530,108 $6,681,777 $519,451
2023 $27,146,691 $1,339,628 $5,296,770 $7,818,728 $-3,562,247 $2,687,794 $-688,456
2022 $9,917,575 $1,692,454 $18,761,877 $-15,892,738 $-776,777 $10,495,530 $745,916
2021 $14,101,993 $-16,049,583 $-4,861,655 $15,211,157