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 |