Recent Annual Filings for SHYF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $568,748,000 $786,176,000 $788,405,000 $-2,795,000 $30,056,000 $36,964,000 $5,823,000
2023 $530,049,000 $872,198,000 $871,502,000 $6,464,000 $56,244,000 $-36,721,000 $-1,591,000
2022 $580,481,000 $1,027,164,000 $983,238,000 $36,558,000 $-18,843,000 $13,649,000 $-25,610,000
2021 $447,867,000 $991,792,000 $907,312,000 $70,155,000 $74,009,000 $-35,770,000 $16,163,000
2020 $359,049,000 $675,973,000 $627,817,000 $33,166,000 $64,332,000 $-77,602,000 $1,646,000