Recent Annual Filings for SWAG

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $55,148,000 $82,654,000 $86,789,000 $-4,137,000 $2,760,000 $-928,000 $1,299,000
2023 $61,601,526 $75,893,871 $75,827,364 $35,058 $-4,365,089 $-825,305 $-7,264,953
2022 $56,626,108 $58,953,467 $60,431,095 $-778,441 $-2,414,001 $-2,911,967 $-16,972,912
2021 $232,365,298 $-1,954,091 $-1,181,232 $232,969,200 $288,108