Recent Annual Filings for IPWR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,826,684 $86,032 $11,157,207 $-10,417,813 $-8,742,580 $16,617,023 $7,368,015
2023 $12,248,070 $198,871 $10,550,959 $-9,954,020 $-7,131,578 $-216,264 $-7,870,788
2022 $19,399,367 $203,269 $7,546,228 $-7,189,350 $-6,383,914 $-127,872 $-6,824,526
2021 $25,877,480 $576,399 $5,425,374 $-4,770,269 $-4,280,864 $24,530,692 $20,012,893
2020 $5,132,173 $428,129 $8,222,026 $-7,793,897 $-3,019,032 $3,185,766 $99,574
2019 $5,265,740 $-3,918,555 $-3,200,000 $3,098,773 $-200,395
2018 $6,165,820 $-7,904,989 $-6,546,216 $-5,721 $-6,764,170
2017 $13,566,987 $1,212,270 $11,664,956 $-10,435,098 $-7,415,539 $13,666,900 $5,817,331