Recent Annual Filings for SGLY

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $18,728,039 $3,136,681 $8,608,455 $-5,377,775 $-4,408,691 $4,456,576 $345,903
2023 $19,237,807 $4,538,723 $27,501,210 $-23,031,400 $-33,643,405 $-2,125,420 $-37,994,533
2022 $64,847,740 $3,988,415 $32,916,784 $-28,127,304 $5,918,070 $8,351,964 $10,540,969