Recent Annual Filings for CNSP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,700,943 $-14,857,801 $-17,113,299 $23,030,144 $5,912,657
2023 $1,700,853 $-18,851,226 $-14,140,031 $4,637,246 $-9,506,686
2022 $13,053,115 $-15,274,134 $-10,557,815 $15,613,127 $5,050,890
2021 $8,757,385 $-14,036,578 $-13,538,309 $4,509,081 $-9,034,976
2020 $15,853,412 $-9,457,871 $-7,318,018 $14,134,168 $6,798,205
2019 $7,912,075 $-3,877,211 $-3,553,472 $10,259,747 $6,686,155