Recent Annual Filings for AIMD

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $28,820,199 $20,729 $14,883,090 $-15,002,217 $-5,808,267 $8,025,746 $2,092,187
2023 $31,841,804 $122,112 $13,891,861 $-13,839,369 $-4,694,668 $4,923,673 $127,480
2022 $37,109,014 $3,519,627 $17,495,839 $-14,214,143 $-3,021,183 $3,831,245 $179,884