Recent Annual Filings for AKYA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $125,005,000 $81,672,000 $136,891,000 $-55,358,000 $-44,103,000 $-3,205,000 $-71,359,000
2023 $180,369,000 $96,633,000 $159,916,000 $-63,317,000 $-50,899,000 $56,844,000 $9,292,000
2022 $176,031,000 $74,859,000 $145,377,000 $-70,647,000 $-53,496,000 $28,726,000 $-38,849,000
2021 $190,907,000 $54,917,000 $97,992,000 $-42,935,000 $-36,068,000 $137,035,000 $95,873,000