Recent Annual Filings for XWEL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $25,352,000 $33,897,000 $25,626,000 $-16,421,000 $-11,005,000 $1,359,000 $-3,751,000
2023 $38,993,000 $30,109,000 $31,887,000 $-29,419,000 $-16,074,000 $8,000 $-10,416,000
2022 $70,426,000 $55,939,000 $43,211,000 $-32,851,000 $-24,188,000 $-27,377,000 $-86,408,000