Recent Annual Filings for DMYY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $26,030,408 $1,294,140 $1,679,093 $-819,410 $-1,395,823 $-41,546,207 $309,390
2023 $67,700,900 $3,145,323 $314,576 $2,296,931 $-600,342 $57,812 $-238,530
2022 $65,507,954 $566,093 $2,868,148 $-2,388,269 $-1,067,619 $65,444,008 $238,539