Recent Annual Filings for UAMY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $34,642,602 $14,937,962 $16,668,366 $-1,730,404 $2,220,303 $4,138,033 $6,316,263
2023 $28,094,995 $8,693,155 $15,041,442 $-6,348,287 $-4,750,026 $-1,071,292 $-7,163,031
2022 $34,700,450 $11,044,707 $10,599,973 $428,661 $-249,277 $-267,725 $-2,302,663
2020 $13,299,502 $5,235,530 $8,522,334 $-3,286,804 $-1,305,664 $2,098,365 $549,610
2019 $13,693,975 $8,268,005 $11,940,896 $-3,672,891 $-5,711 $457,506 $58,870
2018 $17,557,123 $9,034,403 $8,493,510 $873,225 $-656,631 $-221,685 $22,565
2017 $17,131,254 $10,229,978 $11,364,372 $-1,134,394 $716,705 $-333,234 $17,930
2016 $17,765,998 $11,890,135 $12,901,197 $-1,309,200 $425,837 $33,706 $-123,486