Recent Annual Filings for GNPX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,124,325 $21,174,167 $-21,111,163 $-17,149,088 $12,011,953 $-5,135,969
2023 $10,670,592 $31,075,570 $-30,860,461 $-24,738,603 $10,593,377 $-14,216,440
2022 $25,085,027 $23,830,719 $-23,740,621 $-17,778,964 $6,426 $-17,674,807
2021 $42,862,286 $19,600,757 $-19,595,624 $-14,284,924 $25,677,911 $11,309,191
2020 $31,367,214 $17,961,581 $-17,942,770 $-13,935,086 $41,589,529 $25,317,193
2019 $3,534,229 $10,682,673 $-10,654,768 $-6,918,721 $1,267,194 $-6,598,426
2018 $9,268,956 $12,363,541 $-12,372,339 $-6,846,534 $15,389,518 $8,439,667