Recent Annual Filings for USIO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $107,208,447 $82,931,840 $82,253,556 $3,305,497 $2,896,251 $-5,143,468 $-3,191,598
2023 $106,934,670 $82,591,109 $82,773,689 $-475,104 $14,915,902 $-513,953 $13,566,985
2022 $97,912,969 $69,428,285 $74,631,529 $-5,483,244 $-17,036,477 $-1,399,340 $-19,248,059
2021 $133,679,715 $61,942,316 $62,094,089 $-321,634 $29,784,917 $887,457 $29,399,335
2020 $82,667,557 $32,251,823 $35,134,897 $-2,906,183 $6,294,453 $9,977,656 $9,509,307
2019 $61,560,179 $28,200,535 $33,214,394 $-5,115,747 $-3,732,678 $1,721,999 $-2,658,062