Recent Annual Filings for SPWH

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2025 $852,102,000 $1,197,633,000 $1,228,762,000 $-33,059,000 $34,149,000 $-19,978,000 $-309,000
2024 $886,205,000 $1,287,987,000 $1,326,193,000 $-28,997,000 $52,266,000 $28,381,000 $752,000
2023 $858,960,000 $1,399,515,000 $1,345,647,000 $40,518,000 $46,794,000 $-40,835,000 $-54,629,000
2022 $840,581,000 $1,506,072,000 $1,361,833,000 $108,470,000 $-21,626,000 $66,571,000 $-8,507,000
2021 $660,818,000 $1,451,767,000 $1,330,307,000 $91,380,000 $238,816,000 $-148,749,000 $63,840,000
2020 $616,641,000 $886,401,000 $860,932,000 $20,215,000 $77,866,000 $-28,664,000 $138,000
2019 $388,897,000 $849,129,000 $818,316,000 $23,750,000 $32,173,000 $-16,143,000 $-222,000
2018 $379,661,000 $809,671,000 $776,841,000 $17,742,000 $30,775,000 $1,219,000 $-142,000