Recent Annual Filings for AXTI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $339,314,000 $99,361,000 $110,018,000 $-15,063,000 $-12,112,000 $-536,000 $-16,303,000
2023 $358,701,000 $75,795,000 $94,828,000 $-22,728,000 $3,403,000 $8,613,000 $8,766,000
2022 $370,072,000 $141,118,000 $120,191,000 $7,510,000 $-8,765,000 $38,031,000 $4,585,000
2021 $332,441,000 $137,393,000 $119,791,000 $20,160,000 $-3,305,000 $5,725,000 $-35,839,000
2020 $298,862,000 $95,361,000 $88,289,000 $13,490,000 $5,865,000 $52,662,000 $45,710,000
2019 $223,349,000 $83,256,000 $84,282,000 $-3,971,000 $12,658,000 $6,186,000 $10,366,000
2018 $223,524,000 $102,397,000 $90,450,000 $5,269,000 $3,218,000 $213,000 $-27,826,000
2017 $211,200,000 $98,673,000 $87,820,000 $13,649,000 $8,615,000 $35,638,000 $8,200,000