Recent Annual Filings for IKT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $98,599,846 $28,589,068 $-19,148,067 $103,477,668 $47,325,400
2023 $14,506,647 $260,501 $20,350,293 $-18,085,043 $8,405,003 $1,976,626
2022 $24,936,297 $123,440 $18,252,048 $-17,351,103 $-204,769 $-33,561,580
2021 $42,469,999 $3,100,605 $17,866,745 $-14,786,063 $-14,297,051 $41,093,671