Recent Annual Filings for IVDA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,179,516 $6,020,639 $9,969,074 $-4,039,612 $-4,419,748 $2,260,419 $-2,161,937
2023 $7,261,430 $6,495,865 $9,712,682 $-2,604,645 $924,100 $-2,558,750
2022 $9,863,070 $4,468,279 $7,810,603 $-5,408,720 $11,406,322 $5,983,437