Recent Annual Filings for NUWE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,864,000 $8,740,000 $19,900,000 $-11,181,000 $-9,591,000 $10,962,000 $1,295,000
2023 $9,770,000 $8,864,000 $29,065,000 $-20,278,000 $-17,937,000 $3,683,000 $-13,937,000
2022 $24,673,000 $8,543,000 $23,059,000 $-14,452,000 $-15,149,000 $9,423,000 $8,995,000
2021 $30,417,000 $7,921,000 $27,490,000 $-19,582,000 $-17,880,000 $27,871,000 $9,768,000