Recent Annual Filings for FKWL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $46,719,829 $30,796,690 $35,912,661 $-4,333,934 $-773,360 $91,057 $41,555
2023 $56,927,078 $45,948,516 $49,779,834 $-3,032,437 $-1,882,114 $42,943 $-13,948,354
2022 $52,041,871 $23,997,762 $28,707,235 $-4,184,055 $-7,407,355 $75,445 $-19,006,938
2021 $57,788,637 $184,115,345 $160,679,868 $18,574,106 $12,104,199 $6,074,759 $17,634,362