Recent Annual Filings for ONDS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $109,622,288 $7,192,694 $45,200,451 $-38,007,757 $-33,469,623 $50,178,620 $14,977,321
2023 $92,164,682 $15,691,430 $60,536,302 $-44,844,872 $-34,019,519 $18,730,150 $-14,753,096
2022 $97,945,245 $2,125,817 $75,367,622 $-87,092,000 $-37,963,076 $33,857,617 $-11,040,027
2021 $117,438,575 $2,906,771 $20,852,595 $-15,023,842 $-16,895,416 $41,860,437 $14,754,390
2020 $28,511,769 $2,163,719 $15,641,599 $-13,477,880 $-7,534,256 $31,458,101 $23,907,705