Recent Annual Filings for FEMY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,445,002 $1,629,108 $20,436,134 $-18,816,628 $-19,444,009 $2,027,457 $-18,264,316
2023 $27,755,825 $1,071,970 $15,314,756 $-14,247,124 $-11,280,546 $20,178,604 $8,754,141
2022 $16,895,570 $1,206,218 $12,594,088 $-11,394,170 $-10,731,973 $-681,645 $-11,821,093
2021 $28,576,680 $1,179,689 $8,713,534 $-7,537,845 $-7,930,785 $29,698,456 $21,460,803