Recent Annual Filings for SANW

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $151,989,828 $73,521,291 $58,597,240 $14,008,169 $-18,978,150 $11,949,668 $1,343,302
2022 $133,787,851 $71,354,298 $107,263,381 $-37,032,280 $-18,373,139 $17,138,674 $-2,143,891
2021 $151,470,976 $84,049,036 $103,179,908 $-18,845,916 $-14,221,042 $10,892,685 $-862,611
2020 $155,955,633 $79,582,198 $98,943,328 $-19,720,055 $-5,763,627 $17,049,699 $999,702
2019 $146,364,269 $109,722,511 $119,224,185 $-9,700,732 $21,295,831 $4,630,925 $-889,092
2018 $137,767,208 $64,085,510 $68,667,551 $-4,977,367 $-22,200,241 $27,342,196 $3,575,893
2017 $117,100,288 $75,373,810 $79,568,147 $-11,570,764 $-10,300,160 $6,202,881 $-6,159,499
2016 $127,004,985 $96,044,254 $98,082,406 $-327,850 $6,714,982 $567,374 $3,369,042