Recent Annual Filings for SFIX

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $486,864,000 $1,337,468,000 $1,458,014,000 $-129,702,000 $28,207,000 $-15,493,000 $-76,575,000
2023 $614,478,000 $1,638,423,000 $1,808,906,000 $-167,919,000 $57,830,000 $-15,539,000 $108,502,000
2022 $764,535,000 $2,072,812,000 $2,282,282,000 $-214,059,000 $55,395,000 $-60,250,000 $1,150,000
2021 $819,149,000 $2,101,258,000 $2,162,375,000 $-8,193,000 $-15,675,000 $-38,885,000 $-13,670,000
2020 $769,429,000 $1,711,733,000 $1,759,455,000 $-64,202,000 $42,877,000 $-1,435,000 $-27,477,000
2019 $616,066,000 $1,577,558,000 $1,546,737,000 $36,694,000 $78,594,000 $6,945,000 $-139,434,000
2018 $481,585,000 $1,226,505,000 $1,171,792,000 $44,900,000 $72,178,000 $134,795,000 $190,408,000