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 |