Recent Annual Filings for WATT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,795,000 $768,000 $19,166,000 $-18,398,000 $-17,573,000 $5,113,000 $-12,583,000
2023 $16,675,333 $474,184 $22,573,929 $-19,366,763 $-19,248,510 $7,084,345 $-12,351,243
2022 $29,752,922 $851,321 $27,537,646 $-26,275,260 $-23,636,747 $1,017,620 $-22,784,121
2021 $51,371,075 $756,793 $42,189,578 $-41,427,293 $-28,720,389 $27,427,877 $-1,658,247
2020 $53,139,825 $327,350 $32,226,514 $-31,832,086 $-24,791,545 $53,973,748 $29,045,572
2019 $24,883,974 $200,143 $38,599,232 $-38,399,089 $-26,621,145 $28,394,948 $1,577,604
2018 $22,010,169 $514,823 $51,354,945 $-50,840,122 $-32,527,023 $40,698,073 $7,311,231
2017 $15,405,445 $1,154,009 $50,541,837 $-49,376,875 $-34,430,298 $16,781,563 $-18,463,383