Recent Annual Filings for SGBX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $6,071,524 $4,976,618 $24,640,978 $-16,979,682 $-10,898,755 $11,253,714 $361,661
2023 $17,211,275 $16,523,080 $43,280,986 $-26,757,906 $-7,141,754 $7,441,243 $-565,328
2022 $26,555,680 $24,393,946 $31,483,188 $-7,089,242 $-5,630,614 $-2,957,693 $-12,441,605
2021 $34,924,018 $38,341,702 $44,250,074 $-5,908,372 $-662,759 $10,148,041 $14,025
2020 $26,882,098 $8,755,623 $13,263,785 $-4,508,162 $-2,887,950 $17,318,358 $11,384,685
2019 $6,634,611 $2,984,835 $9,905,375 $-6,920,540 $-2,815,621 $3,074,967 $257,276
2018 $11,039,172 $8,190,712 $13,034,733 $-4,844,021 $-3,452,234 $-3,502,429
2017 $15,349,013 $5,061,585 $8,322,744 $-4,512,680 $-1,242,107 $5,568,023 $4,321,724