Recent Annual Filings for SWBI

Fiscal Year Assets Revenues Costs & Expenses Comprehensive Income Cash Flow - Operating Cash Flow - Financing Total Net Cash Flow
2024 $577,996,000 $535,833,000 $486,437,000 $39,609,000 $106,739,000 $-17,966,000 $7,283,000
2023 $541,294,000 $479,242,000 $431,016,000 $36,876,000 $16,732,000 $5,877,000 $-67,172,000
2022 $497,476,000 $864,126,000 $611,740,000 $194,494,000 $137,814,000 $-105,987,000 $7,711,000
2021 $446,388,000 $1,059,195,000 $741,230,000 $252,049,000 $315,334,000 $-303,924,000 $-11,994,000