Recent Annual Filings for ASNS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,225,000 $7,760,000 $11,518,000 $-4,374,000 $-6,549,000 $3,093,000 $-3,248,000
2023 $11,223,000 $5,606,000 $12,969,000 $-6,286,000 $-6,577,000 $3,761,000 $1,236,000
2022 $14,819,000 $8,831,000 $14,932,000 $-10,982,000 $-7,768,000 $15,286,000 $3,412,000
2018 $36,004,000 $3,500,000 $46,521,000 $-42,907,000 $-40,903,000 $-4,531,000 $-45,754,000