Recent Annual Filings for AEMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,245,982 $-12,208,973 $-10,129,810 $1,287,605 $-9,090,965
2023 $17,508,940 $574,245 $12,604,031 $-12,035,927 $-10,505,128 $8,914,718 $-2,539,476
2022 $19,417,954 $294,165 $10,715,050 $-10,420,885 $-9,767,157 $17,367,974 $7,251,624
2021 $10,668,916 $659,104 $8,550,603 $-7,891,499 $-6,764,940 $7,128,342 $303,521
2020 $10,387,686 $650,187 $7,030,228 $-6,380,041 $-5,197,608 $11,125,979 $5,776,706
2019 $4,122,964 $229,625 $6,449,129 $-6,219,504 $-4,293,433 $1,147,437 $-3,145,996
2018 $7,351,904 $149,625 $5,849,462 $-5,699,837 $-3,910,680 $9,349,872 $5,414,369
2017 $1,726,368 $392,073 $7,698,799 $-7,306,726 $-3,505,900 $2,958,297 $-564,036