Recent Annual Filings for SAMG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $194,432,000 $123,651,000 $103,379,000 $15,709,000 $21,590,000 $-21,549,000 $-1,659,000
2023 $199,574,000 $117,410,000 $97,917,000 $15,183,000 $20,975,000 $-24,216,000 $-7,119,000
2022 $212,675,000 $123,217,000 $84,818,000 $30,793,000 $23,383,000 $-30,739,000 $-8,312,000
2021 $229,318,000 $131,603,000 $99,734,000 $24,946,000 $44,278,000 $-20,124,000 $23,246,000
2020 $213,804,000 $107,983,000 $85,111,000 $17,478,000 $26,846,000 $-16,554,000 $9,666,000
2019 $214,249,000 $102,152,000 $81,562,000 $15,412,000 $18,775,000 $4,154,000 $-16,451,000
2018 $133,363,000 $98,673,000 $75,847,000 $17,368,000 $28,857,000 $-11,640,000 $15,461,000
2017 $117,360,000 $91,358,000 $65,093,000 $12,531,000 $29,586,000 $-12,477,000 $16,305,000