Recent Annual Filings for SPCE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $961,225,000 $7,036,000 $383,665,000 $-346,833,000 $-352,703,000 $134,340,000 $-42,707,000
2023 $1,179,517,000 $6,800,000 $538,309,000 $-494,640,000 $-448,193,000 $475,431,000 $-89,035,000
2022 $1,139,938,000 $2,312,000 $502,296,000 $-505,609,000 $-380,241,000 $459,003,000 $-207,403,000
2021 $1,068,834,000 $3,292,000 $356,112,000 $-354,773,000 $-230,763,000 $489,357,000 $-128,925,000
2020 $803,990,000 $238,000 $273,267,000 $-273,089,000 $-233,159,000 $436,594,000 $186,234,000
2019 $605,546,000 $3,781,000 $214,654,000 $-210,958,000 $-203,556,000 $634,320,000 $411,353,000