Recent Annual Filings for UUU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,544,750 $19,902,673 $20,298,463 $-395,790 $604,076 $-690,497
2023 $8,399,874 $22,178,873 $21,443,985 $720,411 $1,491,943 $-1,779,176
2022 $11,521,121 $19,549,785 $19,627,935 $-78,150 $-1,860,051 $2,138,182
2020 $8,177,097 $14,803,024 $20,616,915 $-6,425,647 $9,248 $-289,926
2019 $18,906,926 $17,588,040 $18,936,026 $-1,879,476 $5,874 $240,437 $246,311
2018 $18,903,943 $14,873,189 $17,135,499 $-1,478,922 $534,883 $-652,971 $-134,194
2017 $18,387,273 $14,083,428 $16,142,330 $-2,793,424 $-2,153,188 $1,950,234 $-100,373
2016 $18,510,039 $13,740,840 $15,878,632 $-2,369,102 $-822,957 $313,891 $313,301