Recent Annual Filings for UAVS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $20,581,554 $13,392,777 $48,434,450 $35,000,000 $-6,572,172 $9,541,626 $2,794,972
2023 $25,155,901 $13,741,398 $56,163,135 $-42,325,517 $-10,956,377 $8,550,544 $-3,530,813
2022 $54,184,874 $19,094,425 $77,348,148 $-58,173,046 $-20,107,670 $17,862,691 $-10,240,729
2021 $104,683,041 $9,760,952 $39,869,632 $-30,179,274 $-12,463,128 $45,610,984 $-9,349,768
2020 $28,726,470 $1,285,383 $6,217,833 $-4,932,450 $-2,256,571 $26,257,930 $23,222,336
2019 $4,795,509 $296,677 $2,819,371 $-2,522,694 $-1,818,290 $-40,998 $-1,883,733
2018 $6,808,151 $107,813 $2,187,496 $-2,079,683 $-1,778,138 $5,904,798 $2,566,441