Recent Annual Filings for ASTI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,146,426 $41,893 $8,579,042 $-9,134,288 $-8,423,569 $10,546,000 $2,122,010
2023 $6,298,706 $458,260 $16,101,545 $-17,044,936 $-9,536,879 $2,962,720 $-10,434,285
2022 $18,676,702 $1,222,786 $18,278,321 $-19,770,729 $-10,506,575 $16,293,305 $5,521,258
2015 $18,750,170 $6,536,992 $34,283,376 $-45,797,798 $-22,101,934 $19,307,491 $-2,990,359
2014 $55,920,382 $5,335,545 $39,194,522 $-43,354,449 $-28,085,141 $29,175,010 $-1,579
2013 $28,539,020 $1,316,477 $29,555,753 $-30,130,951 $-20,349,586 $11,979,881 $-9,303,322
2012 $43,523,995 $1,197,163 $29,138,551 $-28,769,417 $-17,661,541 $11,421,205 $1,322,592
2011 $61,424,505 $3,949,911 $109,252,296 $-105,742,615 $-19,931,467 $6,965,254 $-16,004,332