Recent Annual Filings for SBEV

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $9,898,768 $18,850,152 $39,853,909 $-10,189,263 $6,147,720 $-4,051,767
2022 $17,304,703 $18,087,486 $39,727,548 $-14,061,116 $14,446,951 $283,137
2021 $16,385,370 $11,316,002 $40,661,374 $29,050,822 $-14,616,448 $18,933,783