Recent Annual Filings for ALDX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $148,326,911 $-37,438,572 $-30,326,128 $-1,270,220 $-1,596,348
2022 $181,291,657 $-62,128,574 $-56,637,187 $1,220,092 $-85,371,625
2021 $233,137,120 $-57,776,274 $-42,555,907 $194,496,391 $151,932,678
2020 $83,352,503 $-37,559,595 $-37,493,455 $41,902,026 $33,432,481
2019 $75,518,281 $-60,811,741 $-44,984,226 $23,575,733 $-2,931,642
2018 $95,091,155 $-38,884,638 $-29,857,131 $80,526,842 $27,334,135
2017 $44,174,958 $-22,358,549 $-19,222,862 $37,428,980 $8,008,276
2016 $25,187,679 $-18,690,960 $-15,147,512 $12,738,941 $-2,633,805