Recent Annual Filings for LUCY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,838,309 $1,636,440 $8,138,892 $-7,766,515 $-6,739,630 $10,243,327 $-1,658,460
2023 $6,218,762 $1,152,479 $7,815,907 $-6,663,428 $-5,766,303 $6,661,394 $696,338
2022 $4,689,884 $659,788 $6,341,621 $-5,681,833 $-3,224,418 $6,955,751 $3,511,382