Recent Annual Filings for ANIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,591,000 $210,000 $13,831,000 $-12,698,000 $-7,335,000 $3,415,000 $356,000
2023 $25,522,000 $210,000 $11,221,000 $-9,930,000 $-6,209,000 $366,000 $-11,445,000
2022 $30,412,000 $13,875,000 $-13,771,000 $-6,492,000 $452,000 $-16,768,000
2021 $36,257,404 $512,500 $13,648,192 $-13,127,923 $-4,936,881 $31,565,793 $22,711,237
2020 $9,452,964 $9,978,202 $-10,092,363 $-6,175,671 $9,406,898 $2,925,436
2019 $6,293,693 $250,000 $12,140,005 $-11,818,652 $-4,741,426 $5,702,618 $435,735
2018 $6,448,542 $1,112,500 $15,401,558 $-14,243,084 $-4,273,400 $2,528,320 $-283,484