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