Recent Annual Filings for SNTI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $97,841,000 $-52,790,000 $-41,397,000 $53,730,000 $12,367,000
2023 $119,484,000 $2,561,000 $85,967,000 $-71,059,000 $-52,395,000 $779,000 $-21,539,000
2022 $180,792,000 $4,286,000 $74,915,000 $-58,209,000 $-34,896,000 $118,551,000 $1,696,000