Recent Annual Filings for ISPC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,350,230 $9,291,115 $22,019,160 $-12,498,645 $-8,263,713 $5,818,901 $-465,258
2023 $15,819,137 $9,928,184 $21,097,533 $-11,098,648 $-5,807,550 $70,889 $-12,965,044
2022 $24,617,653 $10,402,303 $20,588,385 $-10,245,922 $-5,817,720 $-3,421,359 $-12,430,269
2021 $35,719,598 $11,135,303 $17,060,549 $-8,961,815 $-10,668,410 $38,749,397 $27,043,070