Recent Annual Filings for SHAK

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $1,696,971,000 $1,252,608,000 $1,238,364,000 $10,822,000 $171,155,000 $-9,017,000 $96,061,000
2023 $1,605,857,000 $1,087,533,000 $1,070,553,000 $20,987,000 $132,139,000 $-5,684,000 $-5,868,000
2022 $1,494,862,000 $900,486,000 $924,771,000 $-25,968,000 $76,741,000 $-5,202,000 $-71,885,000
2021 $1,457,570,000 $739,893,000 $757,228,000 $-10,113,000 $58,402,000 $242,021,000 $155,533,000
2020 $1,145,348,000 $522,867,000 $568,344,000 $-45,533,000 $37,350,000 $141,821,000 $109,774,000
2019 $968,268,000 $594,519,000 $567,005,000 $24,130,000 $89,857,000 $3,178,000 $12,349,000
2018 $610,532,000 $459,310,000 $428,500,000 $21,961,000 $85,395,000 $4,452,000 $3,243,000
2017 $470,606,000 $358,810,000 $198,517,000 $8,837,000 $70,878,000 $965,000 $9,900,000