Recent Annual Filings for EYEN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,667,759 $57,336 $48,795,561 $-49,818,433 $-30,120,981 $17,554,864 $-12,727,594
2023 $28,779,374 $3,787 $25,410,233 $-27,261,096 $-23,836,539 $19,792,613 $-8,014,463
2022 $31,036,413 $-28,011,157 $-25,105,482 $21,506,897 $-4,473,330
2021 $31,659,058 $14,000,000 $26,903,683 $-12,778,387 $-20,874,432 $21,457,971 $-1,034,978
2020 $33,906,760 $2,000,000 $21,789,225 $-19,769,867 $-6,384,276 $20,864,760 $14,219,227
2019 $14,697,619 $-21,156,758 $-18,919,308 $13,510,352 $-5,575,599
2018 $20,015,494 $-17,253,108 $-13,111,138 $27,617,734 $14,478,689