Recent Annual Filings for SIEB

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $519,668,000 $83,901,000 $66,433,000 $13,303,000 $10,053,000 $-85,000 $3,921,000
2023 $801,800,000 $71,514,000 $60,255,000 $7,844,000 $-30,267,000 $13,040,000 $-19,786,000
2022 $728,048,000 $50,102,000 $54,392,000 $-2,990,000 $-24,615,000 $-4,291,000 $-30,746,000
2021 $1,404,235,000 $67,507,000 $60,753,000 $5,033,000 $5,543,000 $4,853,000 $2,028,000
2020 $1,372,987,000 $54,872,000 $51,676,000 $3,196,000 $96,717,000 $2,655,000 $98,962,000
2019 $28,473,000 $28,593,000 $23,868,000 $3,607,000 $5,331,000 $-4,037,000
2018 $18,177,000 $30,036,000 $22,676,000 $11,962,000 $4,866,000 $3,464,000
2017 $6,025,000 $13,110,000 $10,800,000 $2,157,000 $1,452,000 $1,035,000