Recent Annual Filings for IPSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $353,216,000 $6,589,000 $131,365,000 $-126,350,000 $-110,135,000 $74,563,000 $11,910,000
2023 $360,691,000 $2,235,000 $137,027,000 $-134,103,000 $-88,348,000 $-9,725,000 $-36,941,000
2022 $486,544,000 $5,199,000 $136,040,000 $-132,744,000 $14,052,000 $27,158,000 $28,082,000
2021 $437,375,000 $-96,471,000 $-89,002,000 $417,774,000 $30,434,000