Recent Annual Filings for APLT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $86,691,000 $455,000 $106,079,000 $-105,624,000 $-84,305,000 $113,805,000
2023 $54,833,000 $9,993,000 $129,756,000 $-119,814,000 $-55,173,000 $74,542,000 $33,241,000
2022 $38,363,000 $-82,350,000 $-78,093,000 $27,692,000 $-37,231,000
2021 $89,892,000 $-105,579,000 $-90,728,000 $74,717,000 $-3,578,000
2020 $104,506,000 $-94,071,000 $-78,209,000 $136,294,000 $38,616,000
2019 $48,389,000 $-45,515,000 $-36,307,000 $56,415,000 $102,000