Recent Annual Filings for IMMX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $22,947,872 $-21,749,098 $-14,595,102 $15,948,567 $172,163
2023 $19,925,160 $-15,378,403 $-11,371,438 $15,463,512 $-33,092
2022 $14,908,101 $-8,268,100 $-7,408,303 $3,232,063 $31,524
2021 $18,192,088 $-24,390,332 $-1,589,307 $-1,594,740