Recent Annual Filings for AIRS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $209,996,000 $180,350,000 $182,166,000 $-8,526,000 $11,350,000 $630,000 $-2,027,000
2023 $204,019,000 $195,917,000 $186,434,000 $-4,815,000 $23,956,000 $-13,391,000 $646,000
2022 $200,759,000 $168,794,000 $173,339,000 $-14,755,000 $24,447,000 $-27,257,000 $-15,731,000
2021 $200,554,000 $133,315,000 $117,547,000 $10,551,000 $26,633,000 $-4,549,000 $14,968,000