Recent Annual Filings for AEYE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,766,000 $35,201,000 $39,455,000 $-4,254,000 $2,731,000 $898,000 $-3,585,000
2023 $25,495,000 $31,316,000 $37,188,000 $-5,872,000 $318,000 $4,170,000 $2,332,000
2022 $24,428,000 $29,913,000 $40,342,000 $-10,433,000 $-4,999,000 $-1,330,000 $-12,062,000
2021 $29,313,000 $24,503,000 $40,016,000 $-14,209,000 $-4,980,000 $16,475,000 $9,871,000
2020 $18,254,000 $20,475,000 $27,608,000 $-7,158,000 $-1,906,000 $10,327,000 $7,123,000
2019 $9,152,243 $10,765,153 $18,582,950 $-7,783,271 $-5,615,841 $2,209,598 $-3,769,389
2018 $9,104,079 $5,660,427 $10,234,247 $-5,019,874 $-1,643,854 $5,850,756 $3,781,119