Recent Annual Filings for SNAL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $62,193,364 $84,467,047 $82,007,848 $1,802,001 $-1,565,124 $-6,485,621 $24,630
2023 $90,857,529 $60,902,098 $72,397,174 $465,868 $-3,441,404 $-51,670
2022 $72,772,571 $74,444,141 $75,896,386 $907,164 $-3,357,338 $4,843,831 $2,684,070