Recent Annual Filings for ISRL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $82,631,699 $2,820,574 $3,347,864 $-75,096,158 $-650,371
2023 $154,518,748 $6,073,475 $-363,115 $148,150,365 $663,323
2018 $111,614,000 $81,339,000 $57,725,000 $16,476,000 $17,167,000 $-16,267,000 $-6,494,000
2017 $108,797,000 $65,947,000 $46,136,000 $-25,826,000 $18,552,000 $-10,519,000 $3,919,000
2016 $141,272,000 $54,942,000 $46,419,000 $4,889,000 $15,510,000 $-10,691,000 $4,012,000
2015 $146,957,000 $74,509,000 $104,748,000 $-20,988,000 $8,911,000 $15,820,000 $20,051,000
2014 $158,864,000 $93,898,000 $85,910,000 $5,129,000 $19,776,000 $-2,542,000 $-2,122,000
2013 $157,913,000 $68,692,000 $78,632,000 $-6,324,000 $24,282,000 $1,183,000 $3,534,000