Recent Annual Filings for SGC

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $415,134,000 $565,676,000 $551,382,000 $8,930,000 $33,428,000 $-24,474,000 $519,000
2023 $422,450,000 $543,302,000 $533,533,000 $9,498,000 $78,929,000 $-71,616,000 $1,805,000
2022 $456,941,000 $578,831,000 $616,866,000 $-28,768,000 $-2,604,000 $28,846,000 $8,817,000
2021 $470,245,000 $536,986,000 $503,859,000 $35,428,000 $17,080,000 $20,995,000 $3,945,000
2020 $393,924,000 $526,697,000 $475,241,000 $36,309,000 $41,359,000 $-38,443,000 $-3,657,000
2019 $358,933,000 $376,701,000 $361,415,000 $12,567,000 $20,007,000 $-6,710,000 $3,676,000
2018 $335,086,000 $346,350,000 $324,955,000 $16,269,000 $19,864,000 $68,138,000 $-2,768,000
2017 $218,938,000 $266,814,000 $242,032,000 $13,907,000 $22,727,000 $-8,919,000 $4,481,000