Recent Annual Filings for GALT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,495,000 $-47,047,000 $-41,767,000 $31,227,000
2023 $28,200,000 $-41,066,000 $-32,965,000 $40,033,000
2022 $21,285,000 $-38,776,000 $-31,056,000 $10,000,000
2021 $41,827,000 $-30,527,000 $-24,308,000 $36,814,000
2020 $29,600,000 $-23,465,000 $-20,601,000 $263,000
2019 $48,467,000 $-13,294,000 $-10,848,000 $50,075,000
2018 $9,006,000 $-13,900,000 $-10,179,000 $15,379,000 $5,200,000
2017 $4,161,000 $-16,235,000 $-15,892,000 $3,583,000 $-12,309,000