Recent Annual Filings for RNAZ

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,294,499 $-16,754,971 $-13,335,947 $16,401,174 $3,043,466
2023 $5,169,701 $-18,546,095 $-18,074,535 $15,909,324 $-2,200,820
2022 $7,587,986 $-17,564,968 $-15,762,512 $5,989 $-15,857,442
2021 $22,938,443 $-6,843,399 $-5,266,885 $25,516,549 $19,997,844