Recent Annual Filings for SYPR

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $119,376,000 $140,180,000 $140,154,000 $-3,630,000 $2,004,000 $820,000 $1,765,000
2023 $129,342,000 $136,223,000 $137,156,000 $2,182,000 $-11,089,000 $-614,000 $-13,842,000
2022 $104,144,000 $110,121,000 $111,667,000 $-345,000 $13,793,000 $-1,383,000 $9,379,000
2021 $79,505,000 $97,434,000 $93,438,000 $4,627,000 $4,238,000 $-1,282,000 $142,000
2020 $60,708,000 $82,346,000 $83,638,000 $1,021,000 $3,648,000 $2,740,000 $6,815,000
2019 $60,056,000 $87,891,000 $91,844,000 $-3,158,000 $-5,820,000 $-788,000 $-5,609,000
2018 $61,568,000 $87,969,000 $91,679,000 $-2,796,000 $1,892,000 $-936,000 $2,560,000
2017 $57,155,000 $82,294,000 $93,734,000 $-9,775,000 $-9,459,000 $-331,000 $-7,126,000