Recent Annual Filings for SOPA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $21,279,701 $7,105,530 $2,677,846 $-9,708,875 $2,473,495 $1,476,971 $3,959,997
2023 $16,363,174 $8,171,635 $2,677,846 $-18,373,522 $-13,908,134 $-785,525 $-15,279,354
2022 $32,698,742 $5,635,553 $2,677,846 $-67,584,211 $-14,453,759 $10,182,905 $-4,261,441
2021 $35,176,357 $519,885 $2,677,846 $-102,784 $-10,813,938 $33,823,757 $4,871