Recent Annual Filings for SGI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2016 $356,129,000 $532,930,000 $544,734,000 $-12,146,000 $27,369,000 $-4,111,000 $25,755,000
2015 $387,584,000 $521,259,000 $559,964,000 $-40,526,000 $-97,186,000 $65,512,000 $-42,106,000
2014 $364,938,000 $529,946,000 $582,748,000 $-54,551,000 $-33,080,000 $-5,530,000 $-65,884,000
2013 $407,853,000 $767,227,000 $782,670,000 $-3,491,000 $76,825,000 $-2,547,000 $70,330,000
2012 $496,880,000 $752,987,000 $776,447,000 $-26,514,000 $-46,828,000 $19,059,000 $-35,017,000