Recent Annual Filings for SISI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $84,179,379 $882,168 $17,948,039 $-24,356,034 $-3,930,251 $11,003,546 $-13,771,723
2023 $63,469,139 $126,185 $8,883,828 $-16,867,314 $-5,390,594 $4,481,368 $-998,472
2022 $63,826,017 $2,186,460 $27,112,470 $-28,400,075 $-5,712,562 $28,412,235 $-13,859,163