Recent Annual Filings for ATNM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $76,899,000 $-38,243,000 $-33,072,000 $29,321,000 $-3,762,000
2023 $81,445,000 $81,000 $52,001,000 $-48,818,000 $-47,335,000 $14,870,000 $-32,618,000
2022 $114,192,000 $1,030,000 $35,134,000 $-33,017,000 $8,644,000 $23,109,000 $31,387,000
2021 $80,388,000 $1,144,000 $25,918,000 $-24,774,000 $-20,866,000 $35,221,000 $14,222,000
2020 $66,397,000 $-22,215,000 $-21,617,000 $76,176,000 $54,306,000
2019 $11,670,407 $-21,899,054 $-21,461,449 $17,114,078 $-4,411,264
2018 $14,889,394 $-23,653,963 $-20,571,056 $16,981,086 $-3,686,062
2017 $18,337,107 $-26,601,235 $-21,553,346 $18,814,634 $-3,119,658