Recent Annual Filings for ANNX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $297,674,000 $-133,917,000 $-121,142,000 $135,524,000 $85,090,000
2022 $285,096,000 $-142,139,000 $-116,309,000 $122,908,000 $65,043,000
2021 $287,040,000 $-130,426,000 $-106,110,000 $1,795,000 $-192,556,000
2020 $355,946,000 $-63,409,000 $-53,087,000 $360,876,000 $224,625,000