Recent Annual Filings for SNDX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $612,880,000 $-208,336,000 $-160,601,000 $264,132,000 $221,140,000
2022 $497,236,000 $-150,189,000 $-133,675,000 $172,254,000 $-147,609,000
2021 $449,657,000 $139,709,000 $114,783,000 $24,975,000 $29,131,000 $118,464,000 $106,722,000
2020 $300,613,000 $1,517,000 $74,675,000 $-73,162,000 $-71,260,000 $304,424,000 $90,634,000
2019 $63,525,000 $1,517,000 $57,564,000 $-56,022,000 $-50,612,000 $28,570,000 $-9,261,000
2018 $83,938,000 $1,517,000 $75,478,000 $-73,843,000 $-68,531,000 $15,729,000 $-1,404,000
2017 $137,186,000 $2,108,000 $64,062,000 $-61,001,000 $-47,371,000 $75,722,000 $11,324,000
2016 $109,013,000 $1,220,000 $44,986,000 $-44,444,000 $-35,157,000 $54,202,000 $665,000