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 |