Recent Annual Filings for SLRX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,022,974 $-5,575,777 $-4,525,337 $1,059,955
2023 $6,586,523 $-12,542,693 $-12,846,137 $6,639,612
2022 $14,650,799 $-31,607,956 $-17,595,321 $1,987,376 $-17,107,945
2021 $40,833,868 $1,840,216 $14,653,147 $-12,768,238 $-10,200,197 $28,295,963
2020 $24,932,321 $5,233,301 $12,585,555 $-7,352,254 $-10,311,363 $17,693,677 $7,379,714
2019 $13,894,398 $3,465,055 $10,403,151 $-6,936,263 $-11,580,096 $3,579,307 $-2,392,881