Recent Annual Filings for SMHI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $727,111,000 $271,361,000 $295,271,000 $-78,560,000 $-10,262,000 $-15,293,000 $-7,991,000
2023 $780,336,000 $279,511,000 $265,402,000 $-8,584,000 $8,947,000 $-16,990,000 $41,086,000
2022 $815,630,000 $217,325,000 $272,722,000 $-72,857,000 $-14,616,000 $-41,355,000 $1,825,000
2021 $912,502,000 $170,941,000 $228,525,000 $38,402,000 $8,802,000 $-78,898,000 $1,682,000
2020 $1,017,663,000 $141,837,000 $195,888,000 $-81,740,000 $-21,506,000 $-21,657,000 $-47,628,000
2019 $1,009,193,000 $201,492,000 $248,621,000 $-80,359,000 $15,439,000 $-25,942,000 $-12,503,000
2018 $1,102,935,000 $253,609,000 $311,625,000 $-86,447,000 $-53,025,000 $69,250,000 $-15,699,000
2017 $1,008,504,000 $173,783,000 $278,595,000 $-39,421,000 $34,739,000 $-11,730,000 $-4,897,000