Recent Annual Filings for AXR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $122,830,000 $51,369,000 $43,767,000 $6,750,000 $10,714,000 $-9,000 $10,248,000
2023 $115,895,000 $48,676,000 $42,846,000 $27,533,000 $6,389,000 $-1,986,000 $4,272,000
2022 $94,917,000 $62,479,000 $41,176,000 $15,912,000 $15,476,000 $-23,361,000 $-9,080,000
2021 $97,366,000 $40,069,000 $31,022,000 $9,236,000 $12,609,000 $-5,305,000 $7,299,000
2020 $96,666,000 $18,783,000 $26,408,000 $-5,339,000 $765,000 $2,510,000 $3,266,000
2019 $100,530,000 $12,831,000 $16,004,000 $2,430,000 $592,000 $-549,000 $195,000
2018 $105,865,000 $40,178,000 $36,722,000 $1,544,000 $531,000 $1,838,000 $2,230,000
2017 $106,676,000 $42,368,000 $41,386,000 $1,846,000 $10,437,000 $-12,939,000 $-2,751,000