Recent Annual Filings for AIRI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $51,011,000 $55,108,000 $56,474,000 $-1,366,000 $324,000 $2,368,000 $407,000
2023 $50,715,000 $51,516,000 $53,647,000 $-2,131,000 $4,862,000 $-2,685,000 $65,000
2022 $53,814,000 $53,238,000 $162,000 $-1,076,000 $448,000 $1,567,000 $-346,000
2021 $53,425,000 $58,939,000 $57,312,000 $1,627,000 $4,064,000 $-4,578,000 $-1,878,000
2020 $57,777,000 $50,097,000 $50,183,000 $1,096,000 $-1,525,000 $6,533,000 $1,211,000
2019 $51,090,000 $54,573,000 $57,134,000 $-2,732,000 $-888,000 $934,000 $-718,000
2018 $47,756,000 $46,309,000 $55,915,000 $-10,992,000 $-2,336,000 $33,000 $1,382,000
2015 $88,250,000 $80,442,000 $16,557,000 $-832,000 $-894,000 $8,565,000 $-889,000