Recent Annual Filings for ACU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $162,170,586 $194,489,991 $182,197,582 $8,976,796 $11,975,240 $2,003,644 $1,039,717
2023 $149,241,316 $191,500,947 $168,766,343 $18,175,472 $28,899,495 $-38,441,220 $-2,114,565
2022 $164,377,104 $193,962,357 $190,299,912 $2,327,515 $2,891,739 $14,276,667 $2,941,751
2021 $144,438,684 $182,087,559 $166,912,625 $13,100,998 $5,140,578 $2,042,646 $675,973
2020 $129,867,736 $164,003,040 $154,176,312 $9,260,669 $5,721,036 $5,291,082 $-2,654,507
2019 $110,748,853 $142,457,342 $135,914,178 $5,702,737 $14,702,231 $-10,606,113 $2,412,840
2018 $109,477,786 $137,321,395 $131,790,171 $4,174,364 $4,475,269 $-6,051,953 $-4,929,227
2017 $114,729,806 $130,550,000 $124,056,703 $4,754,681 $4,810,876 $12,909,468 $3,427,499