Recent Annual Filings for POAI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,972,517 $1,623,817 $12,484,022 $-12,664,388 $-11,955,671 $3,939,194 $-7,993,987
2023 $14,417,249 $1,780,093 $15,864,326 $-13,983,967 $-13,189,390 $148,898 $-13,342,863
2022 $25,734,644 $1,505,459 $27,243,093 $-25,737,634 $-12,370,800 $6,715,405 $-6,131,092
2021 $43,771,271 $1,420,680 $21,739,512 $-19,657,174 $-12,208,929 $50,340,748 $27,524,283
2020 $13,060,436 $1,252,272 $26,612,309 $-25,884,397 $-12,257,732 $12,952,689 $527,501
2019 $22,375,510 $1,411,565 $15,186,058 $-19,390,766 $-8,732,451 $9,320,217 $-11,321