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 |