Recent Annual Filings for PYXS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $157,181,000 $16,146,000 $95,641,000 $-77,224,000 $-57,672,000 $59,326,000 $9,809,000
2023 $173,726,000 $-73,727,000 $-70,709,000 $5,929,000 $-169,629,000
2022 $211,379,000 $-120,717,000 $-89,335,000 $183,000 $-95,551,000
2021 $280,021,000 $-75,975,000 $-35,326,000 $304,044,000 $268,128,000