Recent Annual Filings for XAIR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $56,961,000 $-1,306,000 $61,700,000 $-60,310,000 $-56,014,000 $43,167,000 $-25,082,000
2023 $68,749,000 $-555,000 $51,504,000 $-55,859,000 $-33,009,000 $2,696,000 $-50,900,000
2022 $99,199,000 $-43,081,000 $-23,134,000 $79,450,000 $54,866,000
2021 $40,525,096 $873,190 $23,747,921 $-22,874,731 $-19,639,376 $30,332,379 $9,802,596
2020 $27,434,744 $1,390,104 $21,486,908 $-19,942,504 $-15,250,049 $34,934,590 $24,107,974