Recent Annual Filings for SPIR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $193,575,000 $110,451,000 $213,110,000 $-108,032,000 $-18,453,000 $18,998,000 $-13,686,000
2023 $246,825,000 $105,703,000 $169,587,000 $-61,444,000 $-23,622,000 $23,907,000 $-17,368,000
2022 $256,512,000 $80,268,000 $169,357,000 $-97,140,000 $-47,820,000 $26,373,000 $-63,275,000
2021 $290,194,000 $43,375,000 $24,560,000 $-17,598,000 $-57,986,000 $270,534,000 $93,069,000
2012 $16,625,000 $22,110,000 $28,840,000 $-1,837,000 $-7,838,000 $-604,000 $-1,728,000
2011 $24,178,000 $61,558,000 $65,303,000 $-1,483,000 $-1,102,000 $-36,000 $-1,501,000