Recent Annual Filings for INM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,822,782 $4,597,730 $12,266,180 $-7,675,550 $-6,985,832 $4,654,218 $-2,340,907
2023 $14,106,340 $4,135,561 $12,070,083 $7,900,000 $-7,283,199 $10,680,654 $2,735,651
2022 $12,787,580 $1,089,435 $-17,510,565 $-18,600,117 $-15,583,758 $15,070,497 $-1,186,260
2021 $9,781,216 $-9,772,646 $-9,790,640 $10,854,722 $1,557,317