Recent Annual Filings for AIRG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $42,229,000 $56,040,000 $68,340,000 $-12,425,000 $-3,301,000 $-458,000 $-4,102,000
2022 $54,400,000 $75,895,000 $84,470,000 $-8,659,000 $4,446,000 $-6,304,000 $-2,608,000
2021 $66,390,000 $64,273,000 $76,409,000 $-10,087,000 $-11,170,000 $2,429,000 $-23,662,000
2020 $54,927,000 $48,502,000 $51,508,000 $-3,287,000 $3,704,000 $561,000 $25,151,000
2019 $54,726,000 $55,739,000 $54,650,000 $945,000 $2,350,000 $-392,000 $-424,000
2018 $52,907,112 $60,625,212 $63,107,989 $-2,578,554 $1,376,514 $-3,117,496 $-1,405,412
2017 $56,297,908 $49,521,171 $48,354,231 $1,124,348 $-254,656 $-2,056,400 $-30,135,335
2016 $56,063,503 $43,433,867 $39,691,979 $3,733,707 $4,669,277 $35,431,862 $39,825,490