Recent Annual Filings for FNGR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,814,814 $35,791,685 $39,603,702 $-4,148,189 $-8,203,947 $-295,333 $-7,723,009
2023 $17,547,124 $34,054,205 $41,593,042 $-8,069,278 $-8,614,133 $17,343,333 $8,778,308
2022 $10,366,905 $22,927,415 $27,867,963 $-4,946,182 $-5,847,862 $5,414,194 $-388,784