Recent Annual Filings for LIPO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,673,870 $536,357 $5,552,621 $-5,016,264 $-3,950,747 $2,841,872
2023 $3,577,174 $449,617 $5,068,582 $-4,618,965 $-3,150,172 $1,336,601 $-1,828,005
2022 $5,950,110 $184,156 $2,781,848 $-2,597,692 $-1,831,161 $5,238,530 $3,707,915