Recent Annual Filings for SQFT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $142,569,650 $18,925,275 $21,267,581 $-23,103,864 $-728,060 $-10,612,691 $1,526,068
2023 $175,962,638 $17,635,614 $21,426,186 $13,177,526 $1,489,839 $-131,806,866 $-10,006,297
2022 $291,351,654 $17,764,281 $17,470,227 $1,485,528 $928,817 $127,263,486 $1,814,636
2021 $161,196,763 $19,231,109 $18,414,197 $-1,463,442 $2,374,943 $-23,418,736 $3,161,172
2020 $185,568,616 $24,351,792 $22,575,209 $-6,261,398 $3,693,417 $-30,221,615 $1,149,642