Recent Annual Filings for SHLS

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $793,080,000 $399,208,000 $361,345,000 $24,127,000 $80,388,000 $-71,191,000 $804,000
2023 $843,993,000 $488,939,000 $434,004,000 $42,661,000 $91,955,000 $-67,167,000 $13,941,000
2022 $594,895,000 $326,940,000 $174,940,000 $143,013,000 $39,455,000 $-36,589,000 $-791,000
2021 $426,414,000 $213,212,000 $209,182,000 $3,944,000 $-4,083,000 $20,602,000 $-516,000