Recent Annual Filings for SGRP

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $56,431,000 $196,814,000 $195,890,000 $-4,240,000 $-665,000 $-1,657,000 $7,559,000
2023 $90,281,000 $262,747,000 $253,349,000 $6,059,000 $6,821,000 $-3,020,000 $1,532,000
2022 $94,598,000 $261,268,000 $255,882,000 $1,735,000 $-5,044,000 $3,489,000 $-3,352,000
2021 $89,016,000 $255,719,000 $251,536,000 $-1,724,000 $2,629,000 $1,326,000 $-2,499,000
2020 $84,029,000 $230,517,000 $220,795,000 $7,127,000 $8,801,000 $131,000 $5,514,000
2019 $79,535,000 $252,876,000 $242,685,000 $6,371,000 $6,147,000 $-1,971,000 $3,347,000
2018 $68,929,000 $229,191,000 $225,462,000 $-1,658,000 $2,050,000 $201,000 $-1,716,000
2017 $57,988,000 $181,381,000 $177,291,000 $2,492,000 $6,772,000 $-5,134,000 $1,503,000