Recent Annual Filings for CISO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,654,456 $30,750,695 $50,656,296 $-24,248,698 $-3,841,706 $3,914,162 $-10,639
2023 $51,655,382 $57,058,757 $137,725,518 $-79,973,153 $-5,920,112 $6,193,046 $112,776
2022 $104,496,815 $46,549,617 $80,325,348 $-32,712,935 $-10,681,007 $15,777,909 $-952,042