Recent Annual Filings for DUOT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $34,958,677 $7,280,885 $18,045,342 $-10,764,457 $-3,488,687 $9,154,439 $3,824,454
2023 $12,842,285 $7,471,198 $-3,770,520 $11,241,718 $-8,746,564 $11,161,223 $1,320,750
2022 $13,089,119 $15,012,366 $21,877,149 $-6,864,783 $-7,873,307 $8,745,567 $227,372
2021 $9,484,163 $8,259,917 $14,268,818 $-6,008,901 $-6,579,378 $4,056,938 $-3,075,380
2020 $6,405,799 $8,039,448 $14,786,883 $-6,747,435 $-4,231,439 $8,431,621 $3,912,851