Recent Annual Filings for SBFM

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $30,560,392 $34,874,283 $40,243,257 $-6,660,180 $-12,531,180 $9,289,507 $-5,562,520
2023 $27,346,961 $24,092,787 $28,203,665 $-3,971,786 $-8,775,111 $3,425,587 $-6,068,348
2022 $29,243,848 $4,345,603 $30,856,739 $-26,559,454 $-5,248,358 $39,465,107 $19,596,284