Recent Annual Filings for LEXX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,867,789 $464,278 $6,272,932 $-5,815,161 $-4,959,003 $5,147,608
2023 $3,083,986 $226,208 $6,938,733 $-6,712,525 $-5,881,237 $1,589,731 $-4,461,116
2022 $7,833,927 $255,397 $7,639,050 $-4,879,339 $-44,600 $-5,104,579
2021 $13,266,817 $722,738 $4,892,570 $-5,708,852 $-3,989,678 $13,419,846 $9,624,048