Recent Annual Filings for SGA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $221,725,000 $112,919,000 $108,349,000 $3,460,000 $13,772,000 $-17,810,000 $-10,722,000
2023 $232,213,000 $112,773,000 $99,898,000 $9,500,000 $15,379,000 $-20,102,000 $-7,220,000
2022 $240,753,000 $114,893,000 $100,891,000 $9,202,000 $17,125,000 $-20,093,000 $-17,958,000
2021 $247,932,000 $108,343,000 $92,926,000 $11,157,000 $19,104,000 $-12,349,000 $3,407,000
2020 $246,488,000 $95,813,000 $97,021,000 $-1,913,000 $12,088,000 $-4,165,000 $7,319,000
2019 $252,394,000 $123,072,000 $104,373,000 $13,279,000 $25,335,000 $-19,795,000 $-695,000
2018 $248,477,000 $124,829,000 $105,439,000 $13,690,000 $25,559,000 $-18,984,000 $-8,301,000
2017 $248,769,000 $118,149,000 $101,823,000 $54,717,000 $5,374,000 $-16,546,000 $26,333,000