Recent Annual Filings for LGMK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,221,337 $9,901,987 $18,895,786 $-9,003,745 $-4,254,765 $3,124,077 $-2,591,249
2023 $17,017,180 $9,929,629 $24,790,087 $-14,550,609 $-4,315,480 $5,049,977 $-638,938
2022 $25,641,124 $11,916,482 $18,703,491 $-6,924,965 $-3,609,287 $-300,000 $-5,217,444