Recent Annual Filings for ANIK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $202,740,000 $119,907,000 $81,099,000 $-57,225,000 $5,403,000 $-12,729,000 $-15,660,000
2023 $270,632,000 $166,662,000 $190,727,000 $-82,167,000 $-1,788,000 $-6,324,000 $-13,539,000
2022 $349,128,000 $156,236,000 $112,976,000 $-15,584,000 $4,409,000 $-4,852,000 $-7,929,000
2021 $347,535,000 $147,794,000 $80,328,000 $2,958,000 $8,397,000 $-6,779,000 $-1,500,000
2020 $365,605,000 $130,457,000 $97,348,000 $-22,626,000 $13,065,000 $-3,774,000 $-61,973,000
2019 $330,710,000 $114,610,000 $80,362,000 $26,821,000 $37,005,000 $-8,142,000 $68,421,000
2018 $278,993,000 $105,555,000 $83,806,000 $17,980,000 $34,918,000 $-28,904,000 $-44,214,000
2017 $282,617,000 $113,420,000 $67,691,000 $34,349,000 $40,812,000 $314,000 $28,995,000