Recent Annual Filings for CODA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $51,841,516 $19,352,088 $15,930,860 $4,418,724 $2,389,876 $-17,963 $851,138
2022 $46,927,458 $22,225,803 $17,093,468 $1,231,156 $6,726,967 $-91,896 $6,078,511
2021 $45,465,419 $21,331,527 $16,078,283 $5,601,984 $3,269,770 $139,323 $2,444,889
2020 $38,039,151 $20,043,810 $16,642,003 $3,157,715 $4,434,406 $162,405 $3,598,476
2019 $34,330,993 $25,056,934 $18,824,381 $5,318,454 $6,391,269 $-692,705 $4,116,006
2018 $28,736,611 $18,019,429 $14,916,530 $4,798,299 $2,430,649 $-942,382 $660,883
2017 $24,060,073 $18,025,173 $14,682,889 $3,638,669 $4,840,392 $-1,846,571 $1,249,772