Recent Annual Filings for APRE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $23,979,493 $1,502,581 $15,822,236 $-12,974,817 $-13,556,718 $14,821,895 $1,249,699
2023 $22,650,174 $583,231 $16,055,194 $-14,274,621 $-12,177,608 $5,139,990 $-7,130,711
2022 $30,155,827 $-112,926,479 $-25,011,136 $682,973
2021 $56,823,463 $-37,448,998 $-37,686,179 $1,747,012 $2,467
2020 $92,805,219 $-51,982,295 $-41,802,672 $150,949 $-41,071,183
2019 $133,607,885 $-30,832,260 $-26,708,707 $92,575,538 $64,412,938