Recent Annual Filings for ACON

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $2,123,483 $45,724 $7,038,651 $-6,992,927 $-5,271,609 $5,026,138 $-567,408
2023 $2,459,774 $75,404 $4,986,778 $-4,911,374 $-3,646,947 $3,314,732 $-451,737
2022 $3,205,961 $60,444 $7,665,986 $-7,605,542 $-5,314,171 $6,552,318 $1,030,277