Recent Annual Filings for SKIL

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $1,106,069,000 $530,994,000 $600,615,000 $-125,776,000 $29,965,000 $-51,511,000 $-43,186,000
2024 $1,273,634,000 $553,237,000 $861,851,000 $-347,541,000 $2,818,000 $-10,812,000 $-31,033,000
2023 $1,642,687,000 $555,124,000 $1,359,243,000 $-742,838,000 $-20,933,000 $77,233,000 $8,633,000
2022 $2,221,948,000 $567,390,000 $647,281,000 $-95,100,000 $62,035,000 $440,347,000 $-73,630,000