Recent Annual Filings for GWAV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $63,087,617 $33,315,859 $57,233,212 $-23,917,353 $-17,254,723 $34,207,018 $1,030,305
2023 $46,411,849 $35,667,982 $62,603,972 $-26,935,990 $-1,833,310 $4,235,841 $724,355
2022 $41,468,173 $12,440,783 $23,323,775 $-35,043,290 $-2,609,173 $6,408,711 $-2,136,489