Recent Annual Filings for SMID

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2023 $61,348,000 $59,580,000 $58,257,000 $795,000 $7,732,000 $-619,000 $2,449,000
2022 $54,313,000 $50,131,000 $49,186,000 $800,000 $-6,334,000 $2,199,000 $-6,766,000
2021 $53,325,000 $50,642,000 $41,548,000 $7,570,000 $9,126,000 $-744,000 $4,728,000
2020 $46,499,000 $43,862,000 $40,070,000 $2,665,000 $7,487,000 $2,334,000 $7,400,000