Recent Annual Filings for IGC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,902,000 $1,345,000 $14,345,000 $-13,034,000 $-5,199,000 $3,524,000 $-1,992,000
2023 $17,178,000 $911,000 $12,417,000 $-11,927,000 $-7,047,000 $100,000 $-7,182,000
2022 $26,834,000 $397,000 $15,413,000 $-15,210,000 $-7,462,000 $4,142,000 $-4,062,000
2021 $35,867,000 $898,000 $9,709,000 $-8,735,000 $-10,800,000 $14,688,000 $7,290,000
2020 $28,984,000 $4,072,000 $11,387,000 $-7,746,000 $-8,677,000 $-59,000 $-18,352,000
2019 $34,465,000 $5,116,000 $9,211,000 $-4,459,000 $-3,330,000 $27,598,000 $23,952,000
2018 $10,853,096 $2,192,590 $3,978,400 $-1,786,274 $-1,931,078 $3,714,912 $1,120,467
2017 $11,284,302 $580,372 $2,418,802 $-1,852,861 $-1,391,077 $707,564 $-952,664