Recent Annual Filings for ABSI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $213,608,000 $4,534,000 $107,570,000 $-103,073,000 $-72,402,000 $82,526,000 $-31,453,000
2023 $217,298,000 $5,718,000 $116,184,000 $-110,483,000 $-64,636,000 $-4,483,000 $12,825,000
2022 $321,008,000 $5,747,000 $111,112,000 $-105,011,000 $-81,339,000 $5,237,000 $-203,084,000
2021 $426,195,000 $4,782,000 $114,641,000 $-100,973,000 $-60,598,000 $336,193,000 $208,218,000