Recent Annual Filings for IOR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $121,927,000 $412,000 $4,651,000 $713,000 $713,000
2023 $118,078,000 $1,460,000 $7,001,000 $973,000 $973,000
2022 $111,989,000 $1,626,000 $3,931,000 $4,000 $4,000
2021 $108,066,000 $1,578,000 $3,598,000 $-2,980,000 $-2,980,000
2020 $104,468,000 $1,589,000 $4,214,000 $4,312,000 $-7,000
2019 $100,256,000 $4,145,000 $4,133,000 $1,000
2018 $96,123,000 $8,210,000 $1,628,000 $2,000
2017 $87,897,000 $1,508,000 $2,784,000 $1,000