Recent Annual Filings for SABS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $44,195,469 $1,322,410 $44,232,930 $-34,267,139 $-34,292,009 $-1,172,626 $-47,426,902
2023 $83,941,253 $2,238,991 $44,432,777 $-42,167,366 $-25,119,405 $66,773,137 $41,501,028
2022 $50,904,927 $23,904,181 $42,619,356 $-18,740,804 $-23,459,511 $1,051,411 $-24,498,124
2021 $79,369,220 $60,876,078 $78,020,609 $-17,144,531 $3,758,584 $34,119,708 $26,934,635