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Children’s Health Council, Inc. Financial Statements June ... · Children’s Health Council, Inc. Financial Statements June 30, 2012 ... Cash and Cash Equivalents 595,294$ 424,477$
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Vol. lXXXXIII No. 6 | juNe 2021 IIpa.org.IN | twItter
HYDROMER, INC. · June 30, June 30, 2016 2015 ASSETS Current Assets: Cash and cash equivalents $ 330,165 $ 464,699 Trade Receivables less allowance for doubtful accounts of
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Cash and Investments OFI FY19 · year ended june 30, 2019; restricted cash: and cash ; total market : cash and ; equivalents and: restricted: endowment: other : value of cash: fund;
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