Recent Annual Filings for SKYT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $313,775,000 $342,269,000 $344,546,000 $-2,517,000 $18,460,000 $-6,794,000 $461,000
2023 $316,756,000 $286,682,000 $312,296,000 $-25,093,000 $10,081,000 $-11,235,000 $-11,643,000
2022 $263,598,000 $162,848,000 $217,041,000 $-47,403,000 $-55,680,000 $90,984,000 $5,481,000