Recent Annual Filings for AEI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $96,761,977 $21,115,899 $25,232,975 $-8,646,386 $5,156,047 $-21,419,083 $1,205,270
2023 $126,314,028 $22,088,507 $24,961,161 $-61,580,312 $7,478,823 $3,187,489 $8,537,326
2022 $153,490,336 $4,480,442 $11,569,816 $-45,664,027 $-31,855,435 $6,057,481 $-40,920,995
2021 $184,210,143 $19,798,822 $138,282,399 $-123,049,736 $-16,684,360 $103,417,404 $30,689,043