Recent Annual Filings for SEVN

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $692,808,000 $35,274,000 $17,421,000 $17,820,000 $20,110,000 $-58,476,000 $-17,105,000
2023 $731,525,000 $38,235,000 $12,308,000 $25,965,000 $20,270,000 $-39,326,000 $16,788,000
2022 $746,847,000 $38,362,000 $10,609,000 $27,640,000 $12,751,000 $116,088,000 $44,772,000
2021 $599,993,000 $33,454,000 $8,466,000 $24,650,000 $792,000 $205,802,000 $-77,269,000