Recent Annual Filings for SACH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $491,976,000 $57,500,000 $75,276,000 $-39,887,000 $12,890,000 $-87,332,000 $5,468,000
2023 $625,538,812 $65,609,138 $49,709,985 $12,980,868 $21,855,510 $39,517,825 $-11,114,841
2022 $565,661,862 $52,276,025 $31,367,374 $17,136,115 $13,148,360 $128,164,463 $-18,225,800
2021 $417,961,751 $30,424,552 $17,105,856 $10,988,825 $28,079,801 $160,721,175 $22,530,869
2020 $226,670,184 $18,602,895 $9,609,030 $9,018,751 $9,627,812 $73,762,089 $566,091
2019 $141,211,245 $12,680,506 $6,484,495 $6,145,133 $8,115,957 $48,384,791 $18,683,078
2018 $86,014,050 $11,713,370 $3,941,585 $7,771,785 $6,216,049 $9,823,841 $-795,364
2017 $67,494,537 $6,996,877 $2,136,029 $4,860,848 $4,844,712 $23,477,277 $-607,640