Recent Annual Filings for SNPX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $17,733,779 $-13,553,658 $-4,883,988 $-5,121,289 $-11,005,277
2023 $31,113,667 $-13,778,376 $-5,173,209 $-1,641,066 $-8,816,982
2022 $38,607,806 $-5,573,957 $-11,211,245 $14,483,150 $3,264,491
2021 $35,524,660 $-12,611,197 $-8,710,725 $37,132,858 $28,418,934