Recent Annual Filings for SURG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $23,976,005 $60,881,173 $102,663,524 $-45,937,774 $-21,310,603 $22,483,508 $-1,831,671
2023 $41,925,307 $137,141,832 $118,276,448 $20,644,612 $10,287,345 $-2,419,635 $7,586,406
2022 $34,003,506 $121,544,190 $120,910,405 $-553,228 $793,272 $1,457,468 $752,158
2021 $19,500,202 $51,060,589 $57,053,157 $-13,531,144 $-15,288,261 $21,274,486 $5,609,501
2015 $95,621,000 $75,019,000 $69,000,000 $3,139,000 $9,757,000 $2,418,000 $-3,532,000
2014 $84,715,000 $64,769,000 $60,208,000 $3,167,000 $5,666,000 $97,000 $2,973,000
2013 $82,693,000 $62,796,000 $59,107,000 $2,606,000 $3,665,000 $137,000 $-210,000
2012 $78,763,000 $60,014,000 $51,547,000 $4,991,000 $-2,449,000 $-994,000 $-5,719,000