Recent Annual Filings for FCUV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,080,313 $398,137 $3,320,012 $-3,211,764 $-4,656,754 $706,094 $3,161,064
2023 $5,334,124 $1,052,198 $6,015,005 $-4,725,163 $-3,528,762 $-434,048 $-3,915,172
2022 $9,323,060 $353,619 $5,280,556 $-4,933,476 $-2,957,983 $-1,158,547 $-4,335,239
2021 $14,021,750 $1,434,446 $4,655,423 $-3,220,981 $-2,228,405 $10,346,778 $8,095,340