Recent Annual Filings for AMST

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,314,177 $166,881 $4,746,532 $-4,403,182 $-2,813,779 $3,189,645
2023 $6,349,752 $845,009 $5,069,517 $-4,153,303 $-3,249,176 $1,850,503 $-1,794,706
2022 $8,883,860 $697,001 $9,756,924 $-9,059,923 $-6,715,652 $3,869,550 $-3,557,724
2021 $12,476,833 $674,580 $8,648,592 $-11,586,292 $-5,334,686 $12,796,229 $6,619,217