Recent Annual Filings for SSKN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $36,157,000 $33,562,000 $28,336,000 $-10,086,000 $188,000 $1,925,000 $477,000
2023 $42,016,000 $33,358,000 $27,065,000 $-10,830,000 $-519,000 $6,861,000 $1,323,000
2022 $52,272,000 $36,161,000 $26,417,000 $-5,549,000 $-1,108,000 $-500,000 $-5,791,000
2021 $46,593,000 $29,977,000 $32,649,000 $-2,706,000 $1,508,000 $92,000 $-5,526,000
2020 $46,778,000 $23,090,000 $27,227,000 $-4,412,000 $2,096,000 $2,546,000 $2,483,000
2019 $47,343,000 $31,586,000 $35,525,000 $-3,790,000 $2,229,000 $-296,000 $-858,000
2018 $47,507,000 $29,855,000 $34,152,000 $-4,033,000 $2,896,000 $11,307,000 $12,418,000
2017 $38,631,000 $31,449,000 $50,151,000 $-18,833,000 $4,140,000 $-1,803,000 $141,000