Recent Annual Filings for EVOK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,519,007 $10,249,415 $15,453,552 $-5,352,194 $-5,458,742 $14,315,916
2023 $7,068,546 $5,180,630 $12,611,521 $-7,792,295 $-4,984,977 $-119,296
2022 $11,851,488 $2,508,645 $10,294,782 $-8,224,130 $-6,595,987 $7,294,976
2021 $10,573,162 $1,618,076 $9,769,723 $-8,537,952 $-12,352,944 $13,428,715
2020 $9,434,048 $23,020 $13,070,369 $-13,154,671 $-6,630,007 $9,035,113
2019 $6,395,628 $-7,125,655 $-5,762,093 $6,106,922
2018 $5,659,773 $-7,566,080 $-6,978,560 $4,618,297 $-2,360,263
2017 $7,941,864 $-12,229,512 $-8,716,905 $7,389,101 $-1,327,804