Recent Annual Filings for SLS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,432,000 $31,513,000 $-30,881,000 $-35,402,000 $46,758,000
2023 $6,219,000 $37,869,000 $-37,340,000 $-31,410,000 $22,315,000 $-14,595,000
2022 $20,943,000 $1,000,000 $42,950,000 $-41,301,000 $-23,809,000 $24,079,000 $-4,230,000
2021 $26,275,000 $7,600,000 $32,894,000 $-20,699,000 $-26,021,000 $12,074,000
2020 $46,049,000 $1,900,000 $18,882,000 $-16,757,000 $-10,417,000 $38,442,000
2019 $16,609,000 $118,000 $20,041,000 $-19,292,000 $-17,643,000 $19,569,000
2018 $16,915,000 $-266,000 $31,089,000 $-27,670,000 $-30,422,000 $23,123,000