Recent Annual Filings for GRNQ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,473,923 $3,496,405 $4,217,793 $-741,230 $-1,360,454 $-208,768 $-967,945
2023 $8,658,020 $3,477,664 $2,421,136 $988,307 $-1,594,718 $-5,968 $-1,695,326
2022 $15,639,206 $3,673,997 $9,933,829 $-6,548,900 $-2,402,769 $135,421 $-1,431,178
2021 $22,710,681 $2,949,780 $17,308,072 $-14,349,356 $-2,023,150 $6,308,213 $4,320,578
2020 $14,795,886 $2,254,811 $6,007,764 $-3,693,517 $-1,567,758 $1,502,735 $-109,910
2019 $8,884,453 $4,484,822 $5,856,728 $-1,373,441 $-1,433,371 $381,798 $-890,149
2018 $10,063,954 $4,213,360 $12,522,287 $-8,325,163 $-1,001,421 $1,567,644 $1,009,654