Recent Annual Filings for ZYXI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $122,079,000 $192,354,000 $186,364,000 $2,994,000 $12,721,000 $-17,091,000 $-4,948,000
2023 $136,904,000 $184,322,000 $173,542,000 $9,732,000 $17,756,000 $7,645,000 $24,435,000
2022 $116,466,000 $158,167,000 $135,229,000 $17,048,000 $13,746,000 $-35,796,000 $-22,468,000
2021 $133,274,000 $130,301,000 $107,935,000 $17,103,000 $6,949,000 $13,096,000 $3,439,000
2020 $72,175,000 $80,122,000 $69,873,000 $9,074,000 $818,000 $25,300,000 $25,133,000
2019 $28,277,000 $45,472,000 $34,406,000 $9,492,000 $6,303,000 $-2,231,000 $3,912,000