Recent Annual Filings for ABOS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $238,992,000 $-102,689,000 $-86,215,000 $6,928,000 $-31,260,000
2023 $310,125,000 $-51,308,000 $-43,064,000 $151,753,000 $-62,982,000
2022 $196,587,000 $-43,376,000 $-35,153,000 $3,907,000 $7,939,000
2021 $230,330,000 $-100,606,000 $-17,961,000 $200,466,000 $78,385,000