Recent Annual Filings for ALBT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $20,985,178 $1,333,403 $8,623 $-7,903,667 $-4,969,205 $7,638,667 $2,570,909
2023 $20,582,536 $1,255,681 $7,221 $-16,725,600 $-6,504,718 $4,825,337 $-1,705,510
2022 $19,751,905 $1,202,169 $929,441 $-11,978,718 $-7,037,224 $17,263,989 $1,183,372