Recent Annual Filings for ATXS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $342,363,000 $-94,097,000 $-81,212,000 $157,202,000 $-115,873,000
2023 $254,666,000 $-72,812,000 $-68,445,000 $88,398,000 $155,005,000
2022 $230,633,000 $-51,913,000 $-43,533,000 $144,721,000 $-65,941,000
2021 $127,514,000 $-194,912,000 $-30,151,000 $104,284,000 $61,578,000