Recent Annual Filings for ABVC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,539,907 $509,589 $5,879,165 $-4,973,600 $-1,809,145 $1,980,769 $24,589
2023 $14,492,599 $152,430 $10,806,712 $-10,516,397 $-4,235,845 $3,918,960 $-674,948
2022 $9,855,475 $969,783 $16,484,379 $-16,445,771 $-7,398,391 $4,013,925 $-5,173,487
2021 $13,698,033 $355,797 $11,566,624 $-12,864,013 $-7,597,719 $9,995,550 $1,563,844