Recent Annual Filings for POWW
Fiscal Year |
Assets |
Revenues |
Costs & Expenses |
Comprehensive Income |
Cash Flow - Operating |
Cash Flow - Financing |
Total Net Cash Flow |
2024 |
$399,902,216 |
$145,054,572 |
$164,410,835 |
$-15,565,200 |
$32,631,341 |
$-8,657,912 |
$15,952,414 |
2023 |
$412,335,387 |
$191,439,801 |
$195,305,601 |
$-4,596,038 |
$35,556,366 |
$-6,662,489 |
$16,352,552 |
2022 |
$414,178,313 |
$240,269,166 |
$203,735,761 |
$33,247,436 |
$2,852,583 |
$-28,235,557 |
$-95,059,996 |
2021 |
$179,379,341 |
$62,482,330 |
$67,862,315 |
$-7,812,294 |
$-14,415,560 |
$139,310,022 |
$117,457,197 |