Recent Annual Filings for IKNA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $141,510,000 $-49,118,000 $-46,004,000 $80,907,000
2023 $192,092,000 $9,160,000 $77,488,000 $-67,451,000 $-79,743,000 $75,980,000 $60,381,000
2022 $172,259,000 $15,618,000 $84,383,000 $-69,528,000 $-74,109,000 $1,095,000 $-172,298,000
2021 $247,879,000 $30,985,000 $65,100,000 $-34,115,000 $-60,252,000 $131,738,000 $69,726,000