Recent Annual Filings for ICCC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $45,100,477 $26,493,169 $28,639,742 $-2,156,629 $357,903 $2,882,813 $2,779,491
2023 $43,808,102 $17,471,669 $23,241,640 $-5,774,598 $-4,674,236 $1,751,454 $-4,812,821
2022 $44,860,649 $18,567,962 $21,054,095 $-4,987,610 $-1,543,871 $1,114,239 $-4,393,906
2021 $44,465,688 $19,242,969 $19,312,096 $-78,292 $954,170 $3,878,720 $3,235,531
2020 $40,349,594 $15,342,204 $16,374,457 $-978,222 $1,315,578 $1,911,005 $656,644
2019 $38,691,836 $13,722,872 $14,990,285 $-1,369,639 $233,511 $6,942,092 $3,772,243
2018 $32,730,832 $10,986,297 $12,846,348 $-2,290,876 $-373,404 $889,615 $-1,277,761
2017 $34,298,956 $10,431,091 $10,869,571 $-144,883 $1,175,823 $9,746,181 $-1,351,533