Recent Annual Filings for COYA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $44,347,016 $3,554,061 $19,155,135 $-14,880,787 $-10,288,822 $16,026,816 $5,712,994
2023 $41,262,274 $6,002,206 $13,266,190 $-7,987,836 $-11,188,811 $38,425,063 $26,693,066
2022 $8,395,566 $-12,244,776 $-7,239,354 $9,357,878 $1,593,524