Recent Annual Filings for APVO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $24,842,000 $-17,411,000 $-11,730,000 $5,998,000
2022 $34,215,000 $3,114,000 $-3,900,000 $8,027,000 $-21,022,000 $-2,616,000 $-23,667,000
2021 $56,601,000 $12,292,000 $41,700,000 $-28,457,000 $-21,679,000 $26,161,000 $3,769,000
2020 $53,547,000 $4,309,000 $35,232,000 $-17,750,000 $-29,318,000 $23,874,000 $22,588,000
2019 $53,408,000 $32,424,000 $77,122,000 $-40,448,000 $-42,383,000 $20,149,000 $-18,137,000
2018 $67,494,000 $23,067,000 $76,756,000 $-53,584,000 $-51,422,000 $-787,000 $20,588,000
2017 $117,007,000 $14,658,000 $70,551,000 $6,901,000 $-41,573,000 $9,534,000 $-2,581,000
2016 $91,858,000 $36,434,000 $164,189,000 $-112,448,000 $-36,862,000 $89,295,000 $5,039,000