Recent Annual Filings for ANTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $92,087,000 $-51,565,000 $-49,257,000 $372,000 $5,704,000
2023 $138,744,000 $-64,083,000 $-53,288,000 $84,994,000 $-11,572,000
2022 $102,560,000 $-41,303,000 $-33,462,000 $70,355,000 $15,122,000
2017 $70,540,000,000 $90,039,400,000 $86,075,600,000 $4,009,200,000 $4,184,800,000 $426,900,000 $-466,400,000
2016 $65,083,100,000 $84,863,000,000 $80,307,600,000 $2,494,500,000 $3,204,500,000 $-732,900,000 $1,961,800,000
2015 $61,717,800,000 $79,156,500,000 $74,525,500,000 $2,095,500,000 $4,116,000,000 $-2,997,400,000 $-38,200,000