Recent Annual Filings for SCLX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $92,953,000 $56,590,000 $129,398,000 $-66,490,000 $19,349,000 $-18,131,000 $-1,506,000
2023 $101,309,000 $46,743,000 $161,061,000 $-114,331,000 $-20,707,000 $23,582,000 $43,952,000
2022 $86,527,000 $38,034,000 $61,394,000 $-23,364,000 $-21,258,000 $21,171,000 $40,404,000