Recent Annual Filings for SMTI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $88,091,992 $86,672,425 $96,584,323 $-9,911,898 $-23,784 $17,366,506 $10,731,079
2023 $73,871,149 $64,989,842 $69,429,744 $-4,439,902 $-3,245,556 $9,641,123 $-3,811,779
2022 $61,035,386 $45,842,845 $59,779,969 $-8,092,328 $-5,554,870 $-627,346 $-9,693,846
2021 $36,396,431 $24,143,919 $31,520,076 $-8,065,676 $-4,814,526 $28,296,732 $18,197,475
2020 $9,826,221 $15,586,976 $20,032,121 $-4,445,145 $-4,034,518 $622,330 $-6,156,562