Recent Annual Filings for KULR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $62,927,187 $10,737,481 $25,972,440 $-17,523,629 $-17,341,675 $67,574,961 $28,637,094
2023 $10,864,356 $9,830,166 $32,242,112 $-23,693,556 $-11,965,387 $3,872,701 $-9,138,799
2022 $23,625,930 $3,994,634 $22,280,616 $-19,436,479 $-17,354,125 $17,472,361 $-4,529,738
2021 $19,231,303 $2,412,868 $13,926,283 $-11,911,151 $-6,805,674 $15,526,070 $5,983,161