Recent Annual Filings for SMRT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $420,176,000 $174,885,000 $208,261,000 $-33,525,000 $-32,913,000 $-32,962,000 $-73,474,000
2023 $509,756,000 $236,838,000 $271,533,000 $-34,627,000 $5,981,000 $-1,905,000 $-1,947,000
2022 $560,845,000 $167,821,000 $269,531,000 $-96,507,000 $-81,037,000 $-2,801,000 $-214,627,000
2021 $579,683,000 $110,637,000 $182,483,000 $-72,187,000 $-70,376,000 $473,926,000 $393,986,000
2020 $765,514,000 $1,236,473,000 $1,246,288,000 $-10,472,000 $16,697,000 $-13,397,000 $450,000
2019 $441,205,000 $1,272,732,000 $1,278,755,000 $-5,499,000 $8,902,000 $-4,070,000 $-1,351,000
2018 $480,932,000 $1,318,633,000 $1,354,655,000 $-24,266,000 $47,712,000 $-29,432,000 $-204,000
2017 $527,849,000 $1,360,518,000 $1,360,836,000 $376,000 $60,585,000 $-22,611,000 $-1,226,000