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 |