Recent Annual Filings for UBX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $37,662,000 $-25,951,000 $-20,865,000 $77,000 $-12,223,000
2023 $65,690,000 $-39,633,000 $-37,088,000 $-16,340,000 $7,067,000
2022 $124,350,000 $236,000 $57,808,000 $-60,134,000 $-51,029,000 $54,855,000 $-20,719,000
2021 $124,712,000 $4,784,000 $61,449,000 $-60,774,000 $-45,060,000 $20,845,000 $15,098,000
2020 $156,319,000 $-93,929,000 $-78,333,000 $63,875,000 $-19,666,000
2019 $151,221,000 $-81,992,000 $-72,421,000 $27,438,000 $22,970,000
2018 $181,375,000 $-76,389,000 $-56,623,000 $136,930,000 $8,101,000