Recent Annual Filings for SGMA

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $223,793,975 $33,526,318 $26,392,403 $-2,486,157 $27,760,048 $-26,278,929 $1,598,231
2023 $268,627,199 $51,453,597 $26,495,951 $-20,575,385 $-20,521,181 $24,155,387 $-1,679,460
2022 $293,631,277 $44,431,871 $35,202,306 $9,864,168 $-20,227,399 $29,476,071 $-454,586
2021 $194,173,407 $24,952,197 $21,562,413 $1,541,019 $8,098,946 $-1,140,346 $-3,270,216
2020 $176,079,031 $25,104,890 $22,292,309 $443,102 $15,454,294 $-4,265,834 $5,773,635
2019 $161,464,765 $290,553,951 $289,687,650 $-865,114 $-1,619,500 $3,265,340 $-715,789
2018 $161,229,970 $278,131,709 $282,434,031 $-3,241,870 $-4,717,084 $6,676,729 $-1,771,725
2017 $151,185,664 $252,235,794 $249,738,111 $1,390,206 $-53,761 $2,727,303 $-831,944