Recent Annual Filings for COSM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $54,311,892 $54,426,402 $70,609,420 $-24,093,129 $-7,717,034 $5,046,684 $7,667,563
2023 $66,014,811 $53,376,874 $71,919,528 $-25,071,043 $-15,635,999 $12,694,007 $14,784,780
2022 $68,038,621 $50,347,652 $63,402,972 $-64,926,299 $-14,870,639 $35,048,288 $20,463,196