Recent Annual Filings for INZY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $123,182,000 $-101,996,000 $-91,907,000 $11,398,000 $-13,511,000
2023 $200,847,000 $-70,923,000 $-70,675,000 $125,969,000 $1,648,000
2022 $139,195,000 $-67,284,000 $-57,761,000 $72,788,000 $9,624,000
2021 $123,541,000 $-56,608,000 $-48,153,000 $609,000 $-4,724,000
2020 $169,363,000 $-56,427,000 $-35,974,000 $149,812,000 $-3,341,000