Recent Annual Filings for STXS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $46,724,000 $26,918,000 $51,657,000 $-24,045,000 $-8,497,000 $297,000 $-8,126,000
2023 $41,909,000 $26,771,000 $48,610,000 $-20,713,000 $-9,139,000 $81,000 $10,707,000
2022 $53,413,000 $28,147,000 $46,923,000 $-18,292,000 $-8,415,000 $220,000 $-30,289,000
2021 $60,984,686 $35,020,862 $47,909,305 $-10,715,623 $-2,945,911 $547,411 $-3,795,090
2020 $55,455,825 $26,630,035 $33,343,850 $-6,646,459 $-3,511,772 $17,340,065 $13,757,397
2019 $43,584,754 $28,902,550 $33,729,409 $-4,591,284 $-4,616,680 $24,032,209 $19,386,043
2015 $19,226,914 $37,674,524 $43,085,052 $-7,352,775 $-2,528,501 $1,004,933 $-1,676,719
2014 $23,880,771 $35,011,276 $40,395,940 $-5,202,441 $-9,092,143 $2,711,226 $-6,504,829