Recent Annual Filings for SHFS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $13,218,287 $15,242,560 $19,702,349 $-48,319,475 $430,477 $-3,006,993 $-2,564,122
2023 $67,860,909 $17,562,903 $36,672,451 $-17,279,847 $-832,144 $-488,834 $-3,501,426
2022 $99,342,856 $9,478,819 $53,859,795 $-35,128,083 $1,697,380 $4,094,339 $2,894,290