Recent Annual Filings for WULF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $378,106,000 $69,229,000 $142,648,000 $-73,421,000 $4,263,000 $119,866,000 $46,116,000
2022 $317,687,000 $15,033,000 $101,223,000 $-90,791,000 $-34,066,000 $89,981,000 $-38,132,000
2021 $264,911,000 $3,073,408 $-94,328,639 $-23,327,645 $241,936,856 $40,889,424