Recent Annual Filings for XBIT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $199,093,000 $-38,531,000 $-30,963,000 $10,450,000 $-27,346,000
2023 $226,615,000 $-25,383,000 $-18,725,000 $-9,000 $42,717,000
2022 $246,103,000 $4,010,000 $37,598,000 $-34,045,000 $-14,824,000 $79,677,000 $961,000
2021 $275,177,000 $18,394,000 $43,852,000 $-16,709,000 $69,445,000 $-67,008,000 $-383,000
2020 $353,744,000 $43,997,000 $56,824,000 $-9,849,000 $-65,149,000 $-409,724,000 $-477,228,000
2019 $816,877,000 $668,778,000 $-18,270,000 $42,096,000 $698,771,000
2018 $44,545,000 $-20,625,000 $-16,537,000 $201,000 $-15,945,000
2017 $62,972,000 $-33,975,000 $-33,649,000 $33,323,000 $-2,556,000