Recent Annual Filings for KOPN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $70,765,766 $1,044,337 $44,752,233 $-43,077,831 $-14,226,605 $33,515,827 $9,000,387
2023 $49,312,316 $1,887,654 $21,479,873 $-19,691,993 $-15,260,677 $21,335,000 $-2,062,656
2022 $43,752,172 $47,401,000 $66,583,265 $-19,564,548 $-17,687,250 $2,660,601 $-18,338,468
2021 $63,007,728 $45,666,000 $59,005,371 $-13,538,454 $-10,747,782 $20,449,293 $9,755,186
2020 $47,549,147 $40,128,000 $44,529,925 $-4,803,675 $-4,417,157 $3,689,536 $11,070,820
2019 $43,046,515 $29,518,809 $55,898,471 $-29,171,625 $-21,026,854 $7,993,016 $-8,297,100
2018 $59,549,111 $24,465,005 $64,431,732 $-37,946,426 $-28,165,909 $-844,993 $-10,521,880
2017 $91,322,490 $27,841,000 $58,139,463 $-23,246,674 $-25,912,698 $23,101,190 $9,025,732