Recent Annual Filings for APYX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $79,240,000 $52,349,000 $73,631,000 $-18,850,000 $-5,249,000 $32,166,000 $33,460,000
2022 $51,775,000 $44,510,000 $67,421,000 $-23,278,000 $-20,280,000 $217,000 $-20,678,000
2021 $68,721,000 $48,517,000 $63,337,000 $-15,200,000 $-10,449,000 $24,000 $-11,045,000
2020 $74,111,000 $27,711,000 $47,120,000 $-11,906,000 $-16,066,000 $-73,000 $-16,897,000
2019 $84,745,000 $28,235,000 $48,071,000 $-19,706,000 $-18,475,000 $147,000 $42,216,000