Recent Annual Filings for IDR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $44,021,630 $25,765,373 $17,011,996 $8,753,377 $10,838,806 $8,741,905 $-1,180,098
2023 $23,889,789 $13,656,733 $12,583,284 $1,073,449 $2,104,009 $647,194 $648,968
2022 $20,983,621 $9,580,189 $6,949,097 $2,631,092 $-1,817,090 $3,846,828 $-338,487