Recent Annual Filings for NMTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $5,369,940 $3,453,003 $15,771,113 $-12,318,110 $-11,011,840 $7,269,586 $-3,862,451
2023 $8,097,314 $1,952,441 $13,811,932 $-11,859,491 $-12,886,874 $7,399,074 $-2,837,836
2022 $12,822,609 $171,169 $10,201,934 $-9,999,613 $-7,519,534 $12,023,282 $1,258,983
2021 $7,938,496 $178,146 $10,396,357 $-9,948,168 $-8,602,826 $11,534,854 $2,864,949