Recent Annual Filings for NXL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,222,732 $168,721 $7,780,754 $-7,607,290 $-3,944,390 $4,516,184 $-5,745
2023 $3,631,916 $110,748 $5,807,044 $-4,685,427 $-3,835,384 $-200,000 $417,488
2022 $7,432,136 $1,321,357 $3,154,388 $-1,661,503 $-2,215,699 $8,511,543