Recent Annual Filings for ATNF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $12,763,412 $-14,195,266 $-1,480,567 $4,037,715 $-52,194
2023 $5,259,476 $-19,950,928 $-10,922,223 $5,907,887 $-20,025
2022 $19,650,248 $-42,429,222 $-12,127,585 $10,873,606 $12,127,585
2021 $62,713,670 $-20,144,094 $-19,371,428 $25,411,919 $19,446,901
2020 $55,533,370 $-10,399,975 $-3,871,961 $-8,733,927 $2,025,147