Recent Annual Filings for LOAN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $67,929,350 $9,688,641 $4,097,055 $5,590,936 $4,931,859 $-13,969,839 $-1,490,233
2023 $76,434,886 $9,796,256 $4,319,435 $5,476,171 $5,608,466 $-5,449,986 $1,588,455
2022 $76,280,001 $8,570,964 $3,358,576 $5,211,738 $5,166,991 $3,564,973 $-39,006
2021 $67,205,717 $6,807,890 $2,383,918 $4,423,325 $4,599,370 $2,701,433 $-316,591
2020 $59,843,415 $7,006,351 $2,776,328 $4,229,378 $4,221,533 $726,241 $340,730
2019 $54,443,026 $7,339,705 $2,844,623 $4,494,510 $4,431,578 $-6,034,341 $-236,650
2018 $55,903,132 $7,224,562 $3,019,496 $4,204,424 $4,360,772 $5,571,119 $218,616
2017 $45,896,696 $5,918,937 $2,477,432 $3,438,534 $3,462,201 $6,948,287 $40,142