Recent Annual Filings for SNGX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $8,966,483 $119,371 $8,795,061 $-8,243,030 $-8,403,618 $7,762,089 $-14,885
2023 $9,797,326 $839,359 $8,747,892 $-6,143,234 $-8,604,109 $3,663,506 $-27,146
2022 $14,279,717 $948,911 $15,902,185 $-13,815,534 $-12,649,021 $76,821 $-12,684,282
2021 $26,869,927 $824,268 $14,239,983 $-12,484,694 $-11,739,620 $19,058,001 $7,367,234
2020 $19,891,235 $2,359,447 $20,884,862 $-17,667,849 $-11,454,426 $24,676,649 $13,255,955
2019 $7,775,360 $4,629,916 $14,596,184 $-9,396,933 $-7,509,567 $4,005,455 $-3,563,009
2018 $10,491,702 $5,241,448 $14,141,423 $-8,903,644 $-7,244,631 $8,423,455 $1,174,230
2017 $9,549,651 $5,432,472 $12,996,365 $-7,147,083 $-6,510,567 $5,573,835 $-963,080