Recent Annual Filings for OPRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $171,168,000 $92,127,000 $111,512,000 $-20,110,000 $4,889,000 $-4,911,000 $-472,000
2023 $183,373,898 $71,521,506 $97,923,220 $-17,565,866 $-7,239,153 $28,219,789 $-4,356,229
2022 $134,651,185 $62,450,156 $73,888,596 $-11,438,440 $10,654,078 $-18,950,777 $-66,473,085
2021 $140,985,192 $61,292,598 $60,914,519 $378,079 $726,039 $73,924,954 $74,164,994
2020 $60,327,754 $43,313,323 $45,520,450 $-2,207,127 $-6,310,386 $-1,900,793 $-8,335,904
2019 $56,638,525 $24,598,274 $28,638,810 $-3,142,576 $-1,660,796 $22,181,528 $9,938,646
2018 $25,054,578 $21,206,363 $20,980,019 $226,344 $792,555 $8,685,739 $3,791,461