Recent Annual Filings for ISSC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $82,382,261 $47,198,020 $38,346,460 $6,998,380 $5,796,222 $8,527,002 $-2,558,216
2023 $62,957,451 $34,808,513 $27,173,241 $6,027,755 $2,096,174 $19,908,846 $-14,153,353
2022 $34,705,323 $27,740,695 $20,399,086 $5,523,778 $6,094,440 $301,154 $8,984,940
2021 $27,086,000 $23,044,796 $19,067,677 $5,064,902 $4,592,499 $-19,771,082 $-15,519,261
2020 $41,545,837 $21,595,199 $18,634,298 $3,269,783 $2,192,167 $-705,333 $1,368,037
2019 $38,557,025 $17,572,589 $15,720,488 $1,850,296 $2,107,398 $-2,026,117
2018 $37,633,678 $13,850,372 $17,440,626 $-3,653,905 $-1,740,976 $4,289,588
2017 $41,037,764 $16,786,674 $11,970,127 $4,568,627 $6,065,678 $5,912,640