Recent Annual Filings for IPW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $51,295,857 $86,071,485 $87,864,298 $-1,676,431 $6,164,076 $-2,397,801 $124,080
2023 $60,094,287 $88,902,048 $103,569,621 $-12,033,202 $9,211,269 $-7,153,620 $1,913,695
2022 $78,581,467 $79,418,473 $77,354,855 $1,504,643 $-16,603,005 $11,911,916 $-4,829,758
2021 $35,638,810 $54,075,922 $54,084,909 $-775,749 $-12,756,949 $18,492,517 $5,674,070