Recent Annual Filings for SGHT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $142,839,000 $79,866,000 $131,137,000 $-51,507,000 $-22,351,000 $4,964,000 $-17,772,000
2023 $166,651,000 $81,056,000 $136,493,000 $-55,547,000 $-47,184,000 $1,104,000 $-46,871,000
2022 $213,073,000 $71,331,000 $157,526,000 $-86,242,000 $-75,965,000 $1,248,000 $-75,687,000
2021 $280,186,000 $48,956,000 $111,728,000 $-62,960,000 $-52,540,000 $252,529,000 $199,176,000