Recent Annual Filings for WRAP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $15,121,000 $4,507,000 $20,074,000 $-7,093,000 $-8,125,000 $468,000 $-345,000
2022 $30,571,000 $8,049,000 $25,779,000 $-17,517,000 $-14,603,000 $83,000 $393,000
2021 $44,231,000 $7,729,000 $32,224,000 $-24,470,000 $-18,223,000 $13,450,000 $-11,710,000
2020 $48,832,480 $3,944,057 $17,020,854 $-12,565,360 $-12,186,924 $37,960,756 $-337,053