Recent Annual Filings for XPON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,107,388 $5,624,939 $19,105,962 $-13,479,475 $-9,562,545 $6,064,004 $-3,385,133
2023 $11,905,331 $5,981,134 $13,434,115 $-7,456,274 $-5,531,232 $2,246,108 $-3,268,546
2022 $16,698,931 $7,162,837 $14,708,227 $-7,536,540 $-5,468,572 $12,412,270 $6,428,006