Recent Annual Filings for SNES

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $3,278,000 $1,857,000 $8,041,000 $-6,184,000 $-6,033,000 $2,001,000 $-4,088,000
2023 $7,293,000 $1,193,000 $8,903,000 $-7,710,000 $-7,566,000 $8,335,000 $620,000
2022 $6,782,000 $1,019,000 $10,714,000 $-9,695,000 $-8,577,000 $4,196,000 $-4,551,000
2021 $11,501,000 $600,000 $8,868,000 $-8,268,000 $-7,779,000 $13,561,000 $5,683,000
2020 $6,022,000 $258,000 $8,191,000 $-7,937,000 $-7,108,000 $8,882,000 $1,707,000
2019 $4,979,000 $143,000 $10,430,000 $-10,018,000 $-8,058,000 $5,145,000 $-2,984,000
2018 $7,754,000 $297,000 $12,177,000 $-11,908,000 $-9,129,000 $6,932,000 $2,819,000
2017 $9,323,000 $52,000 $12,368,000 $-12,286,000 $-9,321,000 $5,498,000 $-9,725,000