Recent Annual Filings for TDAC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2020 $64,660,574 $-809,047 $-1,848,754 $-8,553,626 $917,326
2019 $74,536,195 $1,100,138 $2,533,106 $-1,525,377 $-137,375,484 $-1,200,356
2018 $209,073,922 $699,334 $1,404,083 $-603,665 $206,991,079 $1,112,414