Recent Annual Filings for CNTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $98,126,759 $-26,725,104 $-14,556,434 $109,293,747 $79,979,997
2023 $16,062,735 $1,163,975 $26,236,591 $-23,964,211 $-21,047,618 $-21,047,618
2022 $37,965,943 $547,268 $15,928,471 $-14,835,939 $-13,549,234 $-102,071 $-14,188,141
2021 $51,305,750 $-10,456,870 $-8,799,487 $58,394,036 $49,344,549