Recent Annual Filings for SKYX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $65,887,047 $86,276,876 $118,389,115 $-35,980,811 $-18,260,370 $13,062,040 $-6,929,758
2023 $76,341,203 $58,785,762 $96,610,968 $-39,670,509 $-12,998,073 $22,726,632 $12,968,656
2022 $43,177,110 $32,022 $26,657,204 $-31,862,607 $-13,838,445 $20,930,211 $-964,651