Recent Annual Filings for INLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,574,956 $18,018,373 $18,191,878 $-546,215 $3,858,160 $-1,756,399 $1,273,988
2023 $19,026,260 $16,886,381 $15,778,912 $519,266 $784,659 $-1,717,815 $-1,481,233
2022 $19,943,142 $14,016,928 $13,992,901 $24,027 $1,988,778 $5,915,667 $943,851