Recent Annual Filings for AKRO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $825,886,000 $-251,382,000 $-230,107,000 $445,846,000 $106,031,000
2023 $580,271,000 $-151,526,000 $-145,367,000 $353,316,000 $-15,674,000
2022 $356,570,000 $-111,969,000 $-92,517,000 $255,632,000 $99,290,000
2021 $195,548,000 $-100,801,000 $-79,681,000 $602,000 $-36,799,000
2020 $273,339,000 $-79,204,000 $-70,804,000 $203,107,000 $122,542,000
2019 $138,118,000 $-43,761,000 $-35,627,000 $95,988,000 $-11,152,000