Recent Annual Filings for XGN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $44,689,000 $55,641,000 $46,748,000 $-15,115,000 $-13,279,000 $-663,000 $-14,457,000
2023 $56,944,000 $52,548,000 $75,385,000 $-23,689,000 $-14,462,000 $-10,632,000 $-25,898,000
2022 $86,221,000 $45,563,000 $91,614,000 $-47,387,000 $-32,144,000 $-489,000 $-36,951,000
2021 $123,445,000 $48,299,000 $72,366,000 $-26,851,000 $-20,269,000 $64,683,000 $41,994,000
2020 $78,375,000 $41,975,000 $57,160,000 $-16,687,000 $-14,084,000 $-97,000 $-14,636,000
2019 $88,310,000 $40,387,000 $49,686,000 $-12,038,000 $-9,711,000 $68,734,000 $58,920,000