Recent Annual Filings for APCX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,986,000 $276,000 $9,209,000 $-8,933,000 $-7,457,000 $8,203,000 $-413,000
2023 $8,353,000 $504,000 $19,016,000 $-18,512,000 $-8,859,000 $7,178,000 $-2,181,000
2022 $12,519 $450 $-15,831 $16,281 $8,199 $13,444 $23,434