Recent Annual Filings for FLUX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,301,000 $60,824,000 $67,439,000 $-8,333,000 $-4,798,000 $3,915,000 $-1,736,000
2023 $35,705,000 $66,337,000 $71,747,000 $-6,741,000 $-3,574,000 $6,492,000 $1,894,000
2022 $30,881,000 $42,333,000 $57,690,000 $-15,609,000 $-23,893,000 $20,462,000 $-4,228,000
2021 $26,262,000 $26,257,000 $39,735,000 $-12,793,000 $-18,358,000 $23,447,000 $3,987,000