Recent Annual Filings for HOWL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $126,929,000 $1,885,000 $75,479,000 $-70,515,000 $-56,188,000 $13,080,000 $-43,362,000
2023 $174,833,000 $19,943,000 $60,446,000 $-37,368,000 $-32,612,000 $58,429,000 $25,048,000
2022 $160,245,000 $16,401,000 $72,457,000 $-53,810,000 $-40,596,000 $15,906,000 $-28,301,000
2021 $179,250,000 $-49,983,000 $-42,876,000 $109,427,000 $66,053,000