Recent Annual Filings for GANX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,123,884 $-20,905,981 $-18,873,827 $13,012,076 $-1,411,412
2023 $18,609,331 $55,180 $22,243,425 $-22,055,906 $-18,865,873 $12,641,343 $4,486,541
2022 $24,099,387 $140,108 $17,637,870 $-17,464,466 $-14,692,139 $-78,774 $-29,569,523
2021 $38,985,071 $164,994 $14,051,592 $-13,828,553 $-12,365,670 $41,766,775 $29,407,671