Recent Annual Filings for SVT

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $34,832,000 $44,917,000 $46,422,000 $-1,293,000 $1,068,000 $-17,000 $16,000
2023 $36,587,000 $12,129,000 $14,578,000 $-10,839,000 $-6,638,000 $1,602,000 $-3,567,000
2022 $45,294,000 $43,821,000 $46,508,000 $-546,000 $264,000 $-4,525,000 $-5,542,000
2021 $50,093,000 $40,558,000 $36,546,000 $1,503,000 $4,591,000 $-983,000 $3,611,000
2020 $50,328,000 $49,844,000 $49,782,000 $-135,000 $826,000 $3,809,000 $3,906,000
2019 $49,470,000 $55,272,000 $52,584,000 $2,172,000 $-620,000 $2,322,000 $-569,000
2018 $41,685,000 $47,857,000 $43,622,000 $3,565,000 $833,000 $-1,076,000 $-2,109,000
2017 $37,986,000 $41,444,000 $39,369,000 $1,305,000 $3,652,000 $-464,000 $1,192,000