Recent Annual Filings for NRXP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,651,000 $-25,126,000 $-10,637,000 $7,485,000
2023 $7,315,000 $-21,657,000 $6,201,000 $-15,459,000
2022 $25,816,000 $-39,754,000 $-39,755,000 $32,214,000 $-7,551,000
2021 $32,729,000 $-93,063,000 $-37,703,000 $63,456,000 $25,746,000