Recent Annual Filings for IRMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $98,325,775 $73,242,121 $48,966,662 $19,234,026 $25,624,463 $-14,335,968 $2,471,709
2023 $92,156,098 $65,562,296 $43,824,040 $17,192,776 $13,465,012 $-13,656,511 $-8,198,666
2022 $85,513,747 $53,303,145 $37,122,396 $12,811,475 $10,042,711 $-12,706,400 $-4,038,686
2021 $82,881,422 $41,814,581 $31,978,294 $9,305,396 $11,258,156 $24,425 $11,930,822
2020 $71,066,620 $31,717,372 $32,334,250 $1,375,714 $5,817,496 $522,482 $6,586,947
2019 $66,728,864 $38,517,141 $29,473,824 $9,703,525 $10,232,733 $2,020,172 $15,454,093
2018 $48,442,258 $30,438,983 $24,241,676 $6,320,663 $7,376,015 $929,874 $9,821,712
2017 $39,012,534 $23,081,592 $21,685,206 $487,704 $3,415,918 $-1,900,315 $492,105