Recent Annual Filings for ARTW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,240,684 $24,499,371 $24,634,862 $307,375 $2,626,700 $-3,589,928 $-2,154
2023 $24,402,114 $30,280,957 $29,192,209 $266,969 $-55,194 $507,665 $-1,041
2022 $23,948,314 $28,399,637 $28,282,637 $97,797 $951,721 $394,523 $2,397
2021 $20,854,048 $24,965,086 $24,698,196 $212,631 $-985,854 $1,585,305 $-26
2020 $18,803,013 $22,409,123 $25,369,079 $-2,103,486 $-856,314 $1,357,503 $-461
2019 $19,346,938 $22,889,173 $24,657,993 $-1,419,586 $807,753 $-1,260,808 $-367
2018 $21,325,474 $19,726,793 $23,573,258 $-3,129,892 $-1,118,612 $202,677 $-208,888
2017 $24,379,833 $20,715,080 $22,508,237 $-1,591,859 $747,399 $-1,169,518 $-851,316