Recent Annual Filings for AUPH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $548,062,000 $175,513,000 $267,204,000 $-77,689,000 $-33,461,000 $-5,130,000 $-45,297,000
2022 $470,860,000 $134,030,000 $245,500,000 $-108,389,000 $-79,529,000 $2,433,000 $-137,728,000
2021 $543,367,000 $45,605,000 $226,340,000 $-181,013,000 $-157,692,000 $221,112,000 $-40,450,000
2020 $463,661,000 $50,118,000 $152,892,000 $-102,680,000 $-69,858,000 $194,375,000 $-33,669,000