Recent Annual Filings for EDSA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,813,982 $-6,198,010 $-4,890,205 $592,031
2023 $8,890,437 $-8,375,461 $-6,636,483 $4,830,111 $-76,850
2022 $11,575,728 $-17,557,264 $-12,279,302 $11,629,628 $-655,330
2020 $14,584,655 $-13,261,208 $-13,664,932 $14,174,741 $625,564