Recent Annual Filings for SNOA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $14,740,000 $12,735,000 $17,766,000 $-4,140,000 $-2,398,000 $1,676,000 $-692,000
2023 $16,231,000 $13,272,000 $18,456,000 $-4,257,000 $-6,152,000 $2,489,000 $-3,576,000
2022 $18,845,000 $12,628,000 $18,046,000 $-4,819,000 $-4,248,000 $7,396,000 $3,049,000
2021 $14,987,000 $18,629,000 $22,531,000 $-3,378,000 $3,308,000 $529,000
2020 $14,561,000 $18,936,000 $21,761,000 $-4,591,000 $1,029,000 $2,000
2019 $14,448,000 $18,970,000 $30,310,000 $-11,717,000 $5,492,000 $-6,377,000
2018 $19,206,000 $16,658,000 $30,986,000 $-12,439,000 $5,240,000 $-7,395,000
2017 $25,459,000 $12,825,000 $25,762,000 $-8,167,000 $-32,000 $9,992,000