Recent Annual Filings for SIGA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $244,337,026 $138,719,350 $68,736,076 $59,214,216 $48,761,807 $-43,464,939 $5,254,418
2023 $254,352,855 $139,917,220 $56,296,055 $68,068,826 $94,799,331 $-43,422,423 $51,355,222
2022 $195,035,923 $110,775,610 $68,075,444 $33,904,806 $41,611,062 $-45,959,259
2021 $214,726,575 $133,670,454 $44,577,655 $69,450,766 $11,494,636 $-26,195,437 $-14,751,421
2020 $149,831,391 $124,959,304 $40,458,674 $56,342,010 $71,519,228 $-114,600,421 $-43,096,694
2019 $198,566,190 $26,742,085 $36,920,508 $-7,241,147 $-18,204,303 $-1,176,579 $-19,409,976
2018 $203,443,741 $477,053,782 $65,414,226 $421,807,828 $68,871,323 $-3,812,561 $143,295,324
2014 $166,385,335 $3,139,835 $212,806,849 $-265,463,138 $14,176,520 $-2,313,906 $8,404,175