Recent Annual Filings for LTRN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,571,792 $-20,519,763 $-17,813,201 $66,710 $-14,377,123
2023 $43,647,616 $-15,697,608 $-14,346,548 $-499,997 $-15,776,755
2022 $58,836,321 $-14,538,643 $-12,767,492 $-2,182,498 $-14,770,722
2021 $73,950,477 $-12,363,029 $-10,591,543 $63,416,122 $33,295,063
2020 $20,359,634 $5,908,000 $-5,651,621 $23,664,960 $17,997,202