Recent Annual Filings for SLNG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $85,584,000 $73,293,000 $69,907,000 $4,039,000 $13,693,000 $-1,914,000 $3,659,000
2023 $81,299,000 $73,114,000 $73,926,000 $25,000 $6,712,000 $-3,884,000 $-6,082,000
2022 $96,580,000 $98,823,000 $100,393,000 $-3,455,000 $14,697,000 $-2,253,000 $10,541,000
2021 $87,336,000 $77,165,000 $86,212,000 $-7,569,000 $4,906,000 $3,011,000 $246,000