Recent Annual Filings for SUNE

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $45,712,732 $56,861,753 $72,676,739 $-15,849,805 $-6,302,686 $2,084,358 $-4,244,995
2014 $11,499,800,000 $2,484,400,000 $3,800,800,000 $-1,414,400,000 $-770,000,000 $3,801,700,000 $370,200,000
2013 $6,680,500,000 $2,007,600,000 $2,599,400,000 $-631,500,000 $-706,800,000 $1,594,900,000 $19,700,000