Recent Annual Filings for FONR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $214,245,969 $102,884,089 $86,348,725 $14,097,417 $14,093,294 $-8,181,070 $5,061,486
2023 $200,581,887 $98,645,101 $83,855,839 $12,126,516 $14,467,130 $-7,572,272 $2,556,730
2022 $199,341,982 $97,592,145 $75,584,963 $17,234,388 $15,301,360 $-5,859,471 $4,262,566
2021 $189,506,195 $89,929,765 $72,832,150 $13,673,811 $19,088,001 $-6,610,335 $7,658,069
2020 $180,259,380 $85,690,462 $72,039,546 $11,704,733 $20,402,763 $-4,904,847 $22,920,329
2019 $85,088,722 $87,192,887 $65,058,695 $20,513,674 $19,448,448 $-6,621,512 $-5,751,729
2018 $67,064,542 $901,250 $61,831,783 $25,452,185 $18,739,323 $-6,300,151 $9,494,121
2017 $53,413,706 $1,200,000 $58,940,506 $23,678,798 $16,807,264 $-10,876,869 $1,611,312