Recent Annual Filings for IRIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,135,000 $48,669,000 $57,511,000 $-8,807,000 $-7,285,000 $2,605,000 $-4,693,000
2023 $34,436,000 $51,869,000 $61,349,000 $-9,598,000 $-6,745,000 $-5,000 $-6,859,000
2022 $48,687,000 $53,903,000 $59,088,000 $-5,161,000 $8,217,000 $9,466,000 $12,127,000
2020 $27,969,000 $36,347,000 $42,650,000 $-6,428,000 $-3,237,000 $2,467,000 $-863,000
2019 $34,813,000 $43,447,000 $52,212,000 $-8,803,000 $-7,913,000 $-156,000 $-8,578,000
2018 $41,672,000 $42,600,000 $55,376,000 $-12,743,000 $-10,025,000 $10,379,000 $-473,000
2017 $41,646,000 $41,593,000 $54,588,000 $-12,867,000 $-3,565,000 $2,307,000 $-2,040,000
2016 $48,144,000 $46,158,000 $48,814,000 $-11,713,000 $-144,000 $15,364,000 $13,752,000