Recent Annual Filings for IDAI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,599,824 $3,082,348 $13,679,696 $-12,503,115 $-8,919,422 $9,492,022 $-357,426
2023 $7,893,314 $4,560,275 $12,211,402 $-7,735,224 $-7,852,546 $10,213,410 $1,886,253
2022 $6,411,918 $5,385,077 $17,455,541 $-12,038,188 $-6,337,386 $5,101,194 $-2,234,382