Recent Annual Filings for SCWO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,183,833 $445,445 $12,879,559 $-12,434,114 $-10,589,735 $11,449,519 $10,589,735
2023 $16,121,260 $743,952 $8,847,474 $-8,100,723 $-9,034,987 $13,578,938 $9,034,987
2022 $9,916,831 $3,015,521 $7,705,488 $-4,709,263 $-4,948,996 $25,049 $4,948,996