Recent Annual Filings for SYBX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $19,826,000 $8,000 $23,362,000 $-23,365,000 $-31,658,000 $172,000 $-6,147,000
2023 $75,550,000 $3,371,000 $60,639,000 $-57,115,000 $-51,614,000 $20,944,000 $8,099,000
2022 $110,865,000 $1,180,000 $67,327,000 $-66,263,000 $-56,888,000 $-2,040,000 $-577,000
2021 $174,736,000 $1,754,000 $62,315,000 $-60,620,000 $-52,198,000 $89,382,000 $-16,069,000
2020 $143,840,000 $545,000 $59,718,000 $-59,269,000 $-39,553,000 $13,394,000 $6,323,000
2019 $188,574,000 $2,224,000 $53,597,000 $-51,198,000 $-75,468,000 $79,604,000 $14,932,000
2018 $140,340,000 $2,520,000 $53,750,000 $-48,491,000 $-42,470,000 $82,483,000 $-47,188,000
2017 $99,699,000 $2,444,000 $43,268,000 $-40,386,000 $-31,055,000 $66,678,000 $44,901,000