Recent Annual Filings for SILO

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $7,411,840 $72,102 $4,464,982 $-4,384,234 $-3,833,914 $3,241,628 $381,491
2023 $7,746,141 $72,102 $3,703,185 $-3,706,910 $-3,224,498 $-471,121 $-7,842,726
2022 $11,642,877 $72,637 $3,980,025 $-3,908,551 $-3,497,622 $4,940,948 $3,497,622