Recent Annual Filings for CRMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $118,845,673 $43,472,170 $62,796,960 $-17,933,482 $-50,614,653 $26,318,595 $-3,067,054
2023 $82,059,957 $-46,327,862 $-38,409,480 $55,916,804 $448,447
2022 $62,038,259 $65,408 $30,352,730 $-29,706,092 $-24,356,732 $17,898,241 $-10,176,532
2021 $68,945,576 $190,936 $29,651,348 $-28,225,102 $-21,155,223 $41,757,551 $11,454,494
2020 $49,308,303 $239,231 $27,436,309 $-22,022,934 $-21,967,638 $40,099,866 $25,571,596
2019 $29,475,910 $283,266 $21,777,118 $-16,432,339 $-15,052,024 $25,804,362 $-1,270,136
2017 $13,453,933 $329,327 $33,339,350 $-32,992,667 $-28,587,180 $20,524,997 $2,315,239
2016 $21,906,386 $224,105 $24,867,732 $-24,624,571 $-22,265,395 $7,092,452 $-3,752,928