Recent Annual Filings for ASTC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $37,640,000 $1,700,000 $13,364,000 $-11,390,000 $-9,725,000 $-181,000 $-3,766,000
2023 $47,675,000 $750,000 $10,392,000 $-9,896,000 $-7,625,000 $-776,000 $-12,245,000
2022 $56,221,000 $869,000 $9,199,000 $-9,506,000 $-6,792,000 $-2,095,000 $-9,483,000
2021 $65,633,000 $334,000 $7,937,000 $-7,626,000 $-7,410,000 $67,582,000 $32,587,000
2020 $5,930,000 $488,000 $8,799,000 $-8,311,000 $-6,931,000 $8,692,000
2019 $3,692,000 $127,000 $8,519,000 $-7,503,000 $-8,475,000 $5,914,000 $1,036,000
2018 $5,140,000 $86,000 $13,337,000 $-13,221,000 $-10,784,000 $-7,000 $-1,632,000
2017 $18,835,000 $2,328,000 $14,082,000 $-11,542,000 $-8,821,000 $-1,275,000 $-2,215,000