Recent Annual Filings for LIXT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,145,503 $-3,585,965 $-3,164,536 $-3,164,536
2023 $4,308,620 $-5,087,029 $-4,293,265 $3,143,361
2022 $5,560,013 $-6,312,535 $-4,611,737 $5,141,384
2021 $5,093,264 $-6,728,396 $-4,142,915 $3,897,394
2020 $5,228,475 $-3,264,882 $2,131,414 $4,601,816