Recent Annual Filings for DATS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,371,458 $436 $5,025,443 $-5,012,042 $-4,388,385 $2,394,971 $243,337
2023 $6,506,543 $672 $8,784,703 $-8,370,417 $-6,529,277 $-398,284 $-779,594
2022 $13,113,690 $46,214 $-12,092,358 $-12,138,572 $-7,258,765 $1,112 $-18,466,779
2021 $20,815,015 $4,445 $-10,829,034 $-8,454,504 $28,019,855 $19,509,312