Recent Annual Filings for GIPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $106,563,790 $9,762,636 $14,635,524 $-4,872,888 $1,022,362 $2,246,453 $-2,504,508
2023 $108,691,416 $7,632,600 $12,074,065 $-4,441,465 $12,345 $32,701,579 $-601,050
2022 $64,210,095 $5,432,462 $8,179,640 $-2,747,178 $583,884 $5,826,284 $-6,871,080
2021 $53,420,716 $3,900,096 $5,548,202 $-712,433 $-173,762 $13,606,159 $9,501,712