Recent Annual Filings for AURA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $182,503,000 $-87,195,000 $-79,805,000 $1,595,000 $-9,389,000
2023 $255,075,000 $-75,797,000 $-63,847,000 $97,290,000 $-80,520,000
2022 $223,935,000 $-58,835,000 $-54,601,000 $95,629,000 $-26,841,000
2021 $160,030,000 $-35,251,000 $-32,410,000 $166,259,000 $131,724,000