Recent Annual Filings for SINT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $9,413,000 $2,887,000 $13,911,000 $-11,024,000 $-8,642,000 $9,094,000 $258,000
2023 $15,365,000 $2,627,000 $10,886,000 $-8,259,000 $-14,115,000 $11,711,000 $-2,905,000
2022 $15,773,000 $1,561,000 $13,600,000 $-12,039,000 $-10,263,000 $3,336,000 $-8,028,000
2021 $21,840,000 $606,000 $9,381,000 $-8,775,000 $-10,132,000 $705,000 $-11,078,000
2020 $30,447,000 $594,000 $7,623,000 $-7,029,000 $-9,112,000 $30,925,000 $23,564,000
2019 $9,147,000 $689,000 $5,486,000 $-4,797,000 $-6,435,000 $1,394,000 $-3,660,000
2018 $11,515,000 $95,000 $9,784,000 $-8,652,000 $-9,348,000 $14,401,000 $4,908,000