Recent Annual Filings for AXGN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $203,728,000 $187,338,000 $145,264,000 $-9,964,000 $4,535,000 $2,290,000 $-3,472,000
2023 $196,827,000 $159,012,000 $149,336,000 $-21,716,000 $-5,716,000 $1,954,000 $15,491,000
2022 $195,387,000 $138,584,000 $144,144,000 $-28,948,000 $-16,066,000 $1,794,000 $-17,472,000
2021 $208,024,000 $127,358,000 $129,843,000 $-26,985,000 $-13,405,000 $20,452,000 $-16,602,000
2020 $201,381,000 $112,300,000 $113,901,000 $-23,786,000 $-9,626,000 $40,474,000 $13,885,000
2019 $154,643,000 $106,712,000 $120,769,000 $-29,135,000 $-19,872,000 $4,031,000 $11,430,000
2018 $160,173,000 $83,937,000 $91,514,000 $-22,397,000 $-17,862,000 $109,842,000 $-6,213,000
2017 $58,874,698 $60,426,395 $59,066,096 $-10,445,462 $-9,237,599 $17,022,036 $6,492,219