Recent Annual Filings for AVTX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $150,732,000 $441,000 $68,953,000 $-35,129,000 $-49,056,000 $175,849,000 $127,149,000
2023 $20,993,000 $1,924,000 $29,275,000 $-31,544,000 $-30,680,000 $25,042,000 $-5,771,000
2022 $33,367,000 $18,051,000 $55,491,000 $-41,658,000 $-26,751,000 $-14,699,000 $-41,545,000
2021 $80,214,000 $5,398,000 $87,532,000 $-84,376,000 $-70,892,000 $106,762,000 $35,757,000