Recent Annual Filings for SLP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $196,639,000 $70,013,000 $57,602,000 $9,844,000 $13,320,000 $-6,565,000 $-47,212,000
2023 $186,101,000 $59,577,000 $47,882,000 $10,128,000 $21,856,000 $-23,266,000 $5,956,000
2022 $188,382,000 $53,906,000 $38,791,000 $12,218,000 $17,900,000 $-7,622,000 $14,583,000
2021 $179,978,000 $46,466,000 $35,381,000 $9,681,000 $19,203,000 $-4,684,000 $-12,223,000
2020 $168,421,517 $41,589,084 $30,202,035 $9,390,527 $10,911,938 $102,365,587 $37,771,815
2019 $45,196,697 $33,970,440 $23,413,964 $8,583,329 $11,638,420 $-7,647,881 $2,034,798
2018 $43,279,016 $29,666,524 $19,527,582 $8,934,812 $9,287,188 $-3,773,485 $3,184,983
2017 $38,512,468 $24,137,913 $15,897,646 $5,787,597 $6,877,739 $-4,337,085 $-1,814,566