Recent Annual Filings for EVTV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,671,302 $1,870,060 $10,719,035 $-8,848,975 $-3,504,673 $9,695,509 $1,484,462
2023 $22,653,169 $2,862,853 $15,546,832 $-12,683,979 $-4,245,100 $-430,481 $-2,368,748
2022 $33,483,689 $4,504,621 $48,308,781 $-43,804,160 $-7,432,087 $-156,690 $-2,081,058