Recent Annual Filings for ABEO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $108,931,000 $-63,660,000 $-56,015,000 $104,139,000 $8,884,000
2023 $64,002,000 $3,500,000 $50,635,000 $-54,125,000 $-37,009,000 $37,057,000 $256,000
2022 $64,214,000 $1,414,000 $52,329,000 $-43,580,000 $-43,483,000 $43,173,000 $-24,274,000
2021 $79,586,000 $3,000,000 $92,836,000 $-84,953,000 $-65,665,000 $24,861,000 $25,258,000
2020 $151,198,000 $10,000,000 $91,420,000 $-84,244,000 $-35,019,000 $1,936,000 $-116,797,000
2019 $223,382,000 $-76,282,000 $-62,820,000 $113,902,000 $111,058,000
2018 $174,399,000 $2,998,000 $61,164,000 $-56,671,000 $-39,111,000 $5,477,000 $-118,720,000
2017 $178,766,000 $837,000 $28,673,000 $-27,319,000 $-22,935,000 $92,403,000 $68,608,000