Recent Annual Filings for FORA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $47,169,843 $20,153,263 $27,140,224 $-7,542,140 $282,827 $-19,023,897 $-1,452,325
2023 $58,888,612 $20,481,330 $26,076,342 $11,106,687 $728,818 $-4,601,518 $3,247,243
2022 $46,258,167 $28,005,857 $54,093,588 $-25,971,971 $-8,775,565 $-100,528 $-15,343,907
2021 $56,842,361 $16,879,715 $44,496,472 $-26,551,105 $-17,257,546 $36,281,043 $17,998,342