Recent Annual Filings for ENVB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,082,543 $219 $9,566,276 $-9,599,755 $-7,726,139 $7,673,834
2023 $4,299,840 $3,708 $17,266,527 $-17,491,776 $-14,094,411 $-1,343,141 $-15,425,885
2022 $19,552,925 $-19,306,255 $-17,146,723 $18,180,137 $449,249
2021 $26,719,133 $-48,826,421 $-11,457,671 $24,899,659 $15,632,597
2020 $4,096,891 $-6,864,676 $-3,888,785 $5,531,270 $1,534,746