Recent Annual Filings for IPDN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,981,801 $6,730,605 $9,135,750 $-2,511,965 $-2,501,450 $4,567,857 $1,103,514
2023 $6,326,532 $7,699,037 $12,237,588 $-4,316,994 $-3,026,928 $3,364,300 $-609,130
2022 $6,836,133 $8,314,088 $11,415,963 $-2,620,273 $-2,251,298 $144,635 $-2,167,460
2021 $8,984,773 $6,098,599 $8,989,063 $-3,042,924 $-1,874,000 $4,444,951 $1,282,708
2020 $8,673,343 $4,456,736 $9,301,953 $-4,103,311 $-3,536,076 $4,927,904 $1,326,417
2019 $6,591,623 $5,025,212 $8,021,347 $-3,775,881 $-6,473,330 $6,903,560 $485,027
2018 $5,238,100 $8,452,627 $24,606,418 $-15,134,200 $-4,935,963 $3,421,867 $1,484,481
2017 $18,988,922 $22,054,219 $46,091,469 $-22,258,701 $-6,331,146 $3,585,596 $-3,055,046