Recent Annual Filings for ASTS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $360,892,000 $-222,683,000 $-148,942,000 $116,732,000 $-151,017,000
2022 $438,372,000 $13,825,000 $116,321,000 $-103,408,000 $-156,464,000 $102,340,000 $-85,476,000
2021 $443,936,000 $12,405,000 $85,335,000 $-73,927,000 $-80,095,000 $416,941,000 $281,760,000