Recent Annual Filings for XTNT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $93,837,000 $117,267,000 $133,529,000 $-16,794,000 $-11,896,000 $16,073,000 $447,000
2023 $92,612,000 $91,303,000 $92,340,000 $689,000 $-9,515,000 $19,691,000 $-14,608,000
2022 $60,229,000 $57,969,000 $66,385,000 $-8,485,000 $-5,341,000 $9,020,000 $2,120,000
2021 $54,692,000 $55,263,000 $60,112,000 $-4,849,000 $439,000 $17,497,000 $16,046,000
2020 $41,466,000 $53,337,000 $60,064,000 $-7,023,000 $-731,000 $-861,000 $-2,896,000
2019 $43,155,000 $64,682,000 $72,805,000 $-8,221,000 $-413,000 $-603,000 $-1,560,000
2018 $46,422,000 $72,203,000 $142,302,000 $-70,099,000 $1,212,000 $3,096,000 $3,941,000
2016 $144,101,605 $90,002,736 $109,445,926 $-19,493,552 $-14,407,296 $16,433,837 $-3,789,749