Recent Annual Filings for INTZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $11,509,000 $5,771,000 $13,561,000 $-7,790,000 $-6,293,000 $12,814,000 $4,712,000
2023 $6,248,000 $5,611,000 $19,502,000 $-13,891,000 $-7,767,000 $6,339,000 $-2,876,000
2022 $9,275,000 $7,529,000 $23,758,000 $-16,229,000 $-13,190,000 $13,584,000 $-1,085,000
2021 $9,233,000 $7,277,000 $26,079,000 $-18,802,000 $-16,557,000 $5,101,000 $-12,604,000
2020 $19,882,000 $6,619,000 $13,137,000 $-6,518,000 $-5,177,000 $18,867,000 $13,370,000