Recent Annual Filings for AFCG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $466,585,055 $64,177,630 $41,566,294 $20,951,999 $21,228,934 $-68,494,701 $-18,746,388
2022 $519,176,899 $74,684,642 $37,725,921 $36,101,147 $31,321,973 $16,148,505 $31,126,793
2021 $464,848,360 $37,013,641 $15,977,977 $20,831,747 $9,538,562 $338,541,754 $99,622,228