Recent Annual Filings for SELF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $65,515,024 $12,530,280 $10,406,537 $2,123,743 $4,329,707 $-4,069,856 $181,515
2023 $66,879,204 $12,190,715 $9,251,946 $2,938,769 $4,524,098 $-3,779,455 $513,539
2022 $67,382,752 $11,944,850 $9,887,127 $2,057,723 $4,797,055 $-1,232,414 $3,451,308
2021 $66,549,241 $10,508,830 $7,227,579 $3,281,251 $3,642,752 $-2,281,354 $1,108,256
2020 $64,945,375 $9,196,524 $8,922,183 $274,341 $1,997,328 $-2,688,104 $-2,298,122
2019 $67,661,343 $8,668,322 $8,077,703 $590,619 $1,707,330 $8,616,656 $2,541,299
2018 $58,588,298 $8,110,979 $7,491,531 $619,448 $2,281,249 $-2,660,866 $-544,149
2017 $59,873,308 $7,472,793 $6,795,322 $-68,150 $1,869,792 $-1,981,062 $-764,180