Recent Annual Filings for DYAI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,930,275 $3,495,389 $9,396,211 $-5,809,159 $-3,974,806 $5,848,577 $-2,482
2023 $8,219,236 $2,898,806 $11,128,545 $-6,795,461 $-6,726,755 $-723,141
2022 $13,712,818 $2,930,303 $13,095,981 $-9,735,258 $-8,083,775 $543,591 $-9,909,464
2021 $21,299,122 $2,403,831 $17,131,318 $-13,070,251 $-11,276,945 $1,230,050 $-4,825,303
2020 $30,072,432 $1,601,921 $11,627,584 $-9,325,273 $-6,574,392 $255,470 $15,813,501
2019 $37,452,496 $1,681,076 $10,963,665 $-8,307,965 $-5,782,892 $550,188 $2,437,230