Recent Annual Filings for ACHV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $38,633,000 $39,069,000 $-39,800,000 $-29,770,000 $48,527,000 $-2,823,000
2023 $19,371,000 $27,250,000 $-29,815,000 $-24,479,000 $15,278,000 $-9,222,000
2022 $29,971,000 $40,800,000 $-42,350,000 $-37,549,000 $19,295,000
2021 $47,516,000 $33,094,000 $-33,152,000 $-29,440,000 $36,610,000
2020 $40,298,000 $14,750,000 $-14,730,000 $-13,474,000 $32,680,000 $19,189,000
2019 $21,078,000 $16,528,000 $-16,395,000 $-15,216,000 $17,325,000 $7,145,000
2018 $19,084,000 $12,813,000 $-12,687,000 $-10,623,000 $19,757,000 $4,009,000
2017 $9,892,000 $6,632,000 $-10,583,000 $-9,107,000 $2,001,000 $5,541,000