Recent Annual Filings for INUV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $32,195,931 $83,793,859 $89,547,630 $-5,761,801 $229,554 $-353,388 $-1,981,209
2023 $32,374,144 $73,911,528 $84,304,043 $-10,304,785 $-2,554,075 $3,456,924 $1,509,039
2022 $35,557,310 $75,603,745 $88,253,619 $-13,245,144 $-5,573,991 $-304,433 $-7,544,549
2021 $43,997,074 $59,830,688 $67,601,329 $-7,546,912 $-5,276,257 $12,459,441 $2,585,299
2020 $35,181,571 $44,640,007 $51,944,576 $-7,304,569 $-5,599,335 $14,302,346 $7,517,676
2019 $30,690,928 $61,525,214 $66,347,715 $-4,488,107 $-5,338,383 $6,676,580 $144,033
2018 $28,665,882 $73,330,642 $79,221,474 $-5,890,832 $-2,100,167 $-120,644 $-3,855,730
2017 $38,247,836 $79,554,493 $84,109,160 $-3,057,700 $-1,148,281 $2,609,093 $137,882