Recent Annual Filings for UGRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $64,379,043 $71,542,773 $90,439,698 $-18,681,061 $-11,192,706 $-1,414,095 $-10,895,499
2022 $62,065,552 $67,029,934 $82,629,935 $-15,277,909 $-12,612,746 $-5,519,642 $-22,584,187
2021 $74,156,042 $62,113,181 $62,988,848 $-875,667 $-1,563,108 $44,308,103 $34,407,721