Recent Annual Filings for ONFO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,592,697 $7,862,077 $9,636,019 $-1,773,942 $-1,168,363 $326,336 $-505,387
2023 $6,131,483 $5,239,986 $13,384,807 $-8,144,821 $-2,751,838 $-2,156,650 $-5,718,861
2022 $15,775,826 $2,219,815 $6,454,172 $-4,234,357 $-2,870,893 $12,109,373 $4,990,804