Recent Annual Filings for AGFY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $54,022,000 $9,680,000 $38,034,000 $-41,746,000 $-11,583,000 $42,373,000 $30,736,000
2023 $45,270,000 $16,868,000 $35,516,000 $-30,974,000 $-4,227,000 $-10,027,000
2022 $69,687,000 $58,259,000 $246,543,000 $-72,021,000 $72,781,000 $-1,557,000
2021 $182,048,000 $59,859,000 $92,159,000 $32,465,000 $-30,149,000 $138,792,000 $3,903,000