Recent Annual Filings for ASMB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $119,168,000 $28,520,000 $68,367,000 $-40,307,000 $-51,117,000 $29,449,000 $18,503,000
2023 $136,823,000 $7,163,000 $68,358,000 $-60,506,000 $22,743,000 $13,818,000 $-32,577,000
2022 $101,794,000 $-93,476,000 $-84,463,000 $614,000 $6,791,000
2021 $191,060,000 $6,254,000 $138,640,000 $-130,004,000 $-93,396,000 $53,064,000 $-13,817,000
2020 $283,254,000 $79,105,000 $141,257,000 $-62,221,000 $-62,957,000 $7,599,000 $12,712,000
2019 $339,907,000 $15,963,000 $114,371,000 $-97,488,000 $-84,067,000 $139,646,000 $5,261,000
2018 $268,045,000 $14,804,000 $104,456,000 $-90,706,000 $-64,958,000 $159,793,000 $-40,562,000
2017 $169,303,445 $50,000,000 $101,858,797 $-42,600,170 $1,860,081 $67,240,496 $53,458,124