Recent Annual Filings for ATOM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $29,124,000 $135,000 $19,471,000 $-18,434,000 $-13,236,000 $20,339,000 $13,187,000
2023 $24,029,000 $550,000 $21,227,000 $-19,790,000 $-14,557,000 $12,715,000 $-8,593,000
2022 $26,729,000 $382,000 $17,823,000 $-17,441,000 $-12,499,000 $5,023,000 $-7,515,000
2021 $36,060,000 $400,000 $15,929,000 $-15,648,000 $-12,441,000 $3,307,000 $-9,243,000
2020 $39,395,000 $62,000 $14,982,000 $-14,878,000 $-12,067,000 $35,269,000 $23,071,000
2019 $15,240,000 $533,000 $14,158,000 $-13,300,000 $-10,408,000 $6,397,000 $-4,062,000
2018 $19,357,000 $246,000 $13,379,000 $-12,897,000 $-9,773,000 $11,360,000 $1,564,000
2017 $17,807,000 $110,000 $13,178,000 $-13,068,000 $-9,289,000 $-9,349,000