Recent Annual Filings for SIF

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $104,624,000 $79,633,000 $88,222,000 $-4,112,000 $-1,275,000 $7,411,000 $2,736,000
2023 $95,993,000 $87,022,000 $95,555,000 $-6,659,000 $-1,363,000 $2,881,000 $-806,000
2022 $97,266,000 $83,902,000 $93,585,000 $-9,254,000 $298,000 $3,734,000 $828,000
2021 $110,668,000 $99,591,000 $101,556,000 $3,646,000 $3,892,000 $-3,111,000 $-81,000
2020 $121,948,000 $113,573,000 $104,593,000 $9,032,000 $449,000 $822,000 $86,000
2019 $96,099,000 $112,454,000 $120,661,000 $-12,186,000 $5,729,000 $-5,869,000 $-911,000
2018 $102,237,000 $111,212,000 $118,743,000 $-6,548,000 $1,295,000 $-2,104,000 $-121,000
2017 $110,887,000 $121,458,000 $134,598,000 $-10,610,000 $11,995,000 $-8,802,000 $924,000