Recent Annual Filings for ITP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $177,546,786 $75,837,943 $84,801,843 $-12,286,546 $6,299,469 $-3,256,696 $2,558,655
2023 $194,743,649 $86,546,950 $96,146,031 $-12,987,029 $12,871,086 $4,410,099 $-5,132,947
2022 $204,447,233 $100,352,434 $105,656,961 $-34,582,016 $10,719,388 $-879,596 $-1,676,744
2021 $241,535,202 $160,881,720 $159,422,351 $5,660,981 $-2,436,071 $34,193,824 $7,059,175
2020 $199,874,474 $100,943,269 $107,599,129 $6,244,257 $16,143,526 $2,054,855 $-1,695,308
2019 $190,198,430 $117,614,886 $114,317,602 $-572,403 $7,530,474 $-5,772,467 $-6,279,680
2018 $203,076,010 $86,746,758 $99,143,370 $-19,278,435 $9,790,613 $-3,165,607 $3,099,998