Recent Annual Filings for ENSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,597,232 $5,210,031 $13,197,040 $-7,987,009 $-7,502,700 $9,881,173
2023 $2,708,085 $2,230,520 $12,856,795 $-10,626,275 $-10,779,982 $8,755,884
2022 $5,885,052 $2,523,383 $26,731,068 $-24,207,685 $-17,887,439 $8,765,905
2021 $16,417,349 $3,531,199 $32,677,100 $-29,145,901 $-8,242,177 $20,312,699