Recent Annual Filings for KTTA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $16,064,719 $-13,907,103 $-13,923,438 $4,517,634 $2,519
2023 $26,116,858 $-15,965,649 $-13,425,411 $-3,726,416 $-16,752,821
2022 $45,180,089 $486,559 $697,121 $-13,926,552 $-14,561,921 $-3,206,244 $-19,829,711
2021 $53,320,581 $15,062 $2,188,583 $-2,184,082 $-3,174,058 $55,929,178 $52,733,617