Recent Annual Filings for SIDU

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $37,745,567 $4,672,646 $22,196,702 $-17,524,056 $-15,825,052 $37,787,360 $14,487,472
2023 $19,351,112 $5,962,785 $20,291,133 $-14,328,348 $-11,749,442 $18,362,134 $-1,079,152
2022 $10,297,575 $7,293,408 $20,133,376 $-12,839,968 $-12,093,908 $2,778,180 $-11,415,586
2021 $17,299,951 $1,408,724 $5,154,862 $-3,746,138 $-2,484,778 $16,393,301 $13,690,683