Recent Annual Filings for NXPL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $36,478,000 $65,483,000 $88,537,000 $-23,128,000 $-5,464,000 $72,000 $-6,345,000
2023 $64,469,000 $37,756,000 $50,135,000 $-12,429,000 $-3,596,000 $5,860,000 $7,463,000
2022 $28,642,048 $11,710,142 $19,044,256 $-9,204,542 $-3,601,502 $13,010,276 $1,693,182