Recent Annual Filings for AMPG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $43,220,482 $9,508,372 $20,735,776 $-11,242,404 $-5,295,714 $21,177,516 $12,589,971
2023 $31,407,629 $15,584,577 $18,026,016 $-2,465,439 $-3,470,890 $-2,367,420 $-6,564,209
2022 $36,679,634 $19,394,492 $19,245,141 $-677,107 $-3,425,246 $-224,223 $-4,728,652
2021 $35,227,188 $5,275,434 $10,380,854 $-4,758,805 $-2,199,013 $30,627,157 $17,819,338