Recent Annual Filings for ARTL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $4,698,000 $-9,825,000 $-8,350,000 $112,000 $-477,000
2023 $13,043,000 $-9,238,000 $-8,207,000 $567,000 $-4,073,000
2022 $20,424,000 $-10,319,000 $-8,008,000 $5,274,000 $224,000
2021 $12,635,000 $-7,483,000 $-6,141,000 $14,112,000 $4,487,000
2020 $4,376,862 $-4,581,294 $-4,347,382 $1,980,736 $-2,281,893
2019 $6,482,726 $-2,169,702 $-2,792,676 $8,377,427 $4,086,541