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 |