Recent Annual Filings for EXFY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $176,784,000 $150,687,000 $189,163,000 $-41,456,000 $1,559,000 $-45,317,000 $-51,052,000
2022 $210,241,000 $169,495,000 $190,138,000 $-27,009,000 $32,876,000 $-8,282,000 $22,395,000
2021 $183,213,000 $142,835,000 $156,567,000 $-13,558,000 $5,486,000 $80,565,000 $78,437,000